What I can offer :

Help to optimize your Finance and Treasury to maximize your performance
I can support your cash and banking management, infrastructure and regulatory aspects
A bespoke strategy to transform your financial challenges into opportunities for a sustainable growth
15+ years of expertise in Finance and Treasury

Business professionals discussing financial graphs and charts in an office setting.

Let’s talk about your needs​

Please fill the form and I will contact you; or send an email to contact@finance-treasury-consulting.eu

15+ years

In financial institutions

About me

My name is Pierrick Bouchet, and I have been a dedicated professional in the financial industry since 2008 just months before the global financial crisis.

Reflecting on that pivotal moment, it would have been impossible to anticipate the profound transformation the sector would undergo over the next 15+ years. The financial landscape has been reshaped by a wave of new regulations, heightened volatility, prolonged low and negative interest rates, stringent governance frameworks, the rise of risk management over trading, rapid technological advancements, ESG integration, and continuous restructuring. These forces have collectively redefined the industry, making adaptability not just an advantage but a necessity for survival.
Throughout my career, I have held leadership roles as Head of Trading, Advisory/Sales, Head of Treasury, Chairman of the Asset and Liability Committee, and key positions in risk management, banking governance, and regulatory implementation including direct engagement with regulators. This extensive experience has equipped me with deep insights into the challenges financial professionals face today.
I am now committed to leveraging my expertise to support and guide industry peers in navigating this evolving landscape with confidence and strategic foresight.

Consulting
Services

Funding and Liquidity Management

Liquidity management and forecasting
Cash Management
Funding and trade finance
CD/CP implementation, deposit strategy
Accounting, reconciliation and valorisation
FX, credit and interest rate trading & risk management

Performing analyses​ – Investment

Investment and debt management​, best implied yield opportunity (fund and investment in a different currency – including hedging)
Assessment of a liquid asset buffer book as an answer to the HQLA stock of the banks (think LCR)

Risk management and regulator relationship

Banking rationalisation, dashboards, procedures and policies improvements.
Recovery plan and Resolution plan (including dry run testing).​
Risk appetit statement set up, early warning indicators, KPIs.
Point of contact with the regulator for both the supervisiory and the resolution authorities, in addition to the central bank.

Pillar 1 – Liquidity and solvency risk

Set up of the LCR, NSFR, ALMM
Taxonomy and compliance monitoring
Best in class tool implementation to stress, assess and report those ratios (think WKFS, FIS…)​
Market, liquidity, credit and operational risk

Pillar 2 – Internal Capital / Liquidity Adequacy Process, IRRBB

Set up of ICAAP/ILAAP including stress test, reverse stress test, presentation of the bank and a tailored made presentation.
Taxonomy and implementation of the IRRBB​

Pillar 3 – Market discipline

Disclosure required document support, presentations and metrics​.

Trading & Education

Product Managament : financial products implementation and enhancement based on market trends and clients needs such as FX (cash and derivatives), Bonds, Repo/Rev Repo, IRS including all legal documents (think CDEA, GMRA, ISDA, CSA).
Hedging strategy (including hedge accounting)

IT implementation & Coverage

Stream lead, gap analysis, implementation of the general ledger, core banking system, Treasury Management System, full STP workflow including API connectivitiy (think automation to increase the execution and reduce in house operational risk)​.
Vendors partnership in Luxembourg & Beyond – Local Vendors Presence & Regional Representation / Dedicated Account Management

Tax, WHT and benefit​

Monitoring of the fiscal Luxembourg landscape with tax benefit in terms of innovation. Optimise the year end result with specific investment (think no tax on capital gain while firms hold an investment over a year)​

I Deliver Measurable Results​

I provide flexible consulting and advisory services, tailored to both short-term and long-term engagements. After collaboratively defining the scope, objectives, and deliverables, I will focus on delivering measurable outcomes, supported by clearly defined KPIs. Progress will be tracked through structured follow-up meetings to ensure alignment. Should priorities evolve during the engagement, we will adapt the approach accordingly to meet changing needs

Close-up of a handshake between two professionals in a modern office setting, emphasizing partnership and agreement.
Contact :


contact@finance-treasury-consulting.eu