Disponible en Español

XVI Meeting of Central Bank Treasurers

May 18, 2023
CEMLA CDMX, México

Organizing Institutions

Centro de Estudios Monetarios Latinoamericanos, A. C.
Banco de México

Content

The preliminary program includes presentations by specialists from various central banks on cash management. Also includes sessions to review statistics and reflect on the conclusions reached at the meeting

Objetive

Analyze methodologies and strategies for estimating cash requirements and measuring currency demand; share country experiences in cash management during and after the pandemic, such as its impact on demand, effects on distribution, sufficiency of Central Bank inventories (experience of countries with and without banknote printing press), lessons learned and the future of post-pandemic cash management (change of habits, cash as a store of value, digital currencies), new technologies and their impact on the use and management of cash, challenges and trends in the field of currency, as well as various aspects related to Treasury management.

Aimed at

Officials of CEMLA member entities and invited institutions that perform management tasks related to the subject matter of the meeting. 

Coordinator

Roberto Marino
External Advisor to the Directorate General