Tomáš Krčka
Group Treasurer
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ČEZ, a.s.
Tomáš Krčka is a Head of Group Treasury one of the largest companies in the Czech Republic and a leading energy group operating in Western and Central Europe.
He is a Group Treasurer primarily responsible for Cash and Liquidity Management including Commodity Trading margining, FX and Interest Rate Hedging Strategy and Execution, pricing financial derivatives, Management and Administration for Payments via SWIFT.
Additionally, Tomáš has been a Business Leader for the complex implementation of the SAP TRM, SAP MBC and SWIFT Connectivity with 8 banks in Czech Republic.
Prior to this role Tomáš has been working for Deloitte as a Director with a professional career in the management consulting and in the banking industry (Raiffeisenbank, a.s. and Komerční banka, a.s.).
Tomáš has earned his PhD. Diploma focused on Corporate Finance and Risk Management from the Czech Technical University in Prague.
Sessions
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Treasury in the eye of market volatility25-Jun-2026Room: Cosmo 1B