A key takeaway from 2020 is that cash managers need to be more pro-active. In a post-pandemic environment, that will remain true amid a need to balance caution with pursuing opportunities for growth. Read our latest global cash management research and see how cash managers are prioritizing needs and allocations in 2021.
In money market funds and short-term fixed income strategies as of June 30, 2020 ...
Experience 20 Yrs
Average experience our senior team members focused on cash management
Offered in 6 categories, multiple share classes serving 14 countries
Funds & Solutions
Money Market Funds
Domestic and offshore products for daily operating needs which seek to provide capital preservation, liquidity and transparency.
Standard VNAV Funds
Core and strategic cash options with slightly longer timeframes and potentially increased yields.
Separately Managed Accounts
Strategically positioned custom portfolios specifically designed to meet investment objectives, risk tolerance and constraints.
Sweep, Lending and Sub-Advised
Custodial Sweep Accounts Automated investment option for excess cash reserves
Securities Lending Cash Collateral A securities lending process which seeks to create liquidity without selling securities
Sub-advised Asset Management Customize specific funds to meet investment need
Partner With Us
With more than $387 billion across the full spectrum of cash solutions, we work with you to find the solutions to meet your Treasury needs. We consider requirements for duration, liquidity and quality to provide investment ideas to meet your specific objectives.
Dedicated, Experienced Teams
Rely on the dedicated investment, credit research and risk management teams who average 20 years of experience.
Highly Skilled Investment Team Manages a broad array of asset types, across all market environments.
Experienced Credit Research Team Our analysts are located around the world to ensure they have their fingers on the pulse of the local markets.
Independent Risk Management Team Designed to ensure appropriate risk taking consistent with objectives and guidelines of each investment strategy.
Global Client Service Operations that span the globe, we offer almost 24-hour coverage to support dealing, payment and other services. Our client service team members are specialists with full understanding of cash investments and the day-to-day requirements for the clients.
For all queries relating to account opening, trade instructions, distributions, contract notes, statements and payments:
Our client service team is available to answer any questions you have and help you with the account set up process.
Trade Instructions and Dealing Forms
To directly purchase, trade or sell SSGA money market funds, you must first open an SSGA account. You may provide trade instructions by telephone, by fax, by email or online through a portal. If dealing by fax or by email, please ensure the appropriate dealing form is used for the share class. Please contact the Cash Client Service team if you have any questions.
Phone: +353-1853-8281 (a call back is conducted to a separate authorised account contact, as an additional security feature)
We believe cash management is an ongoing process and that a strong relationship with our clients is critical for success. To provide corporate treasurers and treasury staff with exceptional service, our global cash team draws upon:
Each senior member of our global cash investment team has an average of 20 years of experience and is solely focused on cash management.
Key areas of expertise include investment, credit research, risk management, compliance, trading and operations.
Typical asset types we cover include corporate notes, commercial paper, asst-backed securities, master notes, promissory notes, bank deposits and repurchase agreements.