Treasury professionals at your service

Svante Kandel

Svante Kandel, Senior Partner
Svante has over 25 years of international experience in running treasury centers and is the founding partner of Treasury Management, now one of the leaders in treasury consulting & outsourcing in Switzerland.

After graduating in Finance and Administration from Lund University, Sweden, he started his career in audit and control for a large Swedish company. In 1987, he joined Euroc (now part of Heidelberg Cement, a world-leader in construction materials), setting up and leading their Swiss in-house bank until creating Treasury Management in 1997. His vision is to provide corporates with professional, cost-efficient treasury services by mutualizing infrastructure and running costs, and streamlining day-to-day treasury management processes utilizing efficient systems and technology platforms. Svante speaks English, Swedish and French.


Philip van Randwijk

Philip van Randwijk, Senior Partner
Philip has over 25 years of international experience in the areas of corporate finance, treasury, M&A, fiscal affairs and insurance. Philip joined Treasury Management in 2012.

After completing his MBA in Rotterdam, The Netherlands, he started upon a banking career in Holland and Germany. In 1987 he became corporate treasurer at Buhrmann-Tetterode, moving in 1994 to Royal Numico (now part of Danone), a specialized food company listed on the Amsterdam Stock Exchange, where he was corporate treasurer/tax director with full responsibility for all treasury activities, including cash management, foreign exchange and interest rate management, management of Front-, Mid- and Back-office, as well as corporate finance and tax. During this time he set up treasury centers in Belgium, Ireland and Switzerland, acquisition financing (equity offerings, convertible bond issues and syndicated credit arrangements) and credit rating processes. In 2005 he began working as an independent treasury management consultant to international companies and became a senior partner at Treasury Management in 2012. He is a member of the Swiss ACT (Suisse Romande Chapter) and speaks English, Dutch, German and French.


Jan Johansson

Jan Johansson, Senior Partner
Jan has over 25 years of international experience in the areas of cash management, treasury control and treasury dealing at senior levels. Jan joined Treasury Management in 2001.

After graduating in Finance and Administration from Örebro University, Sweden, he started his career in the accounting and controlling function with Ford Motor Company in Sweden. He then joined Cementa and later Euroc (now part of Heidelberg Cement, a world-leader in construction materials) where he held senior positions in treasury dealing and control. Jan has initiated the central treasury function at Hexagon and acted as board member for Öresundskraft Energy Trading. He joined Treasury Management in 2001, overseeing all front-office operations for our corporate treasury outsourcing clients. He also provides advice and training on risk management, dealing and systems/platforms use and optimization. Jan speaks English, Swedish and French.