Roger Boxman

Senior Advisor Internal Control

LinkedIn

Interim Risk Manager specialised in Treasury, Financial Risk Management and Business Control

Has a master in Business Economics and has a passion for financial figures. Focus on ‘need to know’ from a risk point of view. Experienced in Banking ,Treasury and Real Estate Investment Management.

Specialisations
– Treasury advise, cash flow forecasting and optimising.
– Interest Rate Derivatives, IFRS, Hedge Accounting
– Risk Management of Commercial Real Estate and Social housing Real Estate (woningcorporaties).
– Treasury management related to Real Estate (derivatives, managing interest rate risk and cash flow optimisation.
– Real Estate Investment Management
– Internal supervision of management as a member of two advisory boards.
– Management Accounting

Articles

Het Treasury statuut als beheersinstrument voor woningcorporaties

Het Treasury statuut als beheersinstrument voor woningcorporaties

Nov 21 2017

| 21-11-2017 | Roger Boxman | Het onderstaande korte artikel gaat in op de…

Roadmap for unwinding derivatives

Roadmap for unwinding derivatives

Jul 14 2017

| 14-7-2017 | Roger Boxman | Banks offer proposals to smaller companies and housing…

Brexit: Winnaars en Verliezers

Brexit: Winnaars en Verliezers

Jul 12 2016

| 12-07-2016 | Roger Boxman | Op 23 juni 2016 besloot het Verenigd Koninkrijk…

Lage rente in historisch perspectief

Lage rente in historisch perspectief

Jun 29 2016

| 29-06-2016 | Roger Boxman | De historisch lage rente, op 15-06-2016 publiceerden we…