About Us

Trusted Treasury Expertise for Industrial and Commodity-Driven Finance


Backed by over 15 years in global markets, Nordhagen Consulting brings strategic clarity and operational strength to complex financial environments.

Anne Nordhagen, founder of Nordhagen Consulting, treasury and financial advisory expert

Led by Anne Nordhagen Maddock, a Recognised Expert in Treasury and Finance

Anne Nordhagen Maddock, founder of Nordhagen Consulting, is a seasoned finance professional with over 15 years of experience across commodity trading and corporate treasury. With a career by both the pace of trading floors and the structure of strategic finance functions, she offers a unique combination of technical depth and hands-on insight.

Throughout her career, she has successfully managed global liquidity, implemented robust hedging and risk strategies, and led treasury transformation initiatives for large-scale industrial and commodity-driven organisations. Her approach is grounded in real-world experience, informed by market dynamics, and focused on delivering actionable outcomes.

Known for her collaborative mindset and sharp analytical thinking, she is trusted by stakeholders at all levels to drive clarity, stability, and performance in complex financial environments.

Strategic treasury and financial advisory services for industrial and commodity-driven businesses

Key Areas of Expertise

With a career built at the intersection of trading, and finance, Anne’s strengths span across technical, strategic, and cross-functional domains

  • Developed and executed hedging strategies across commodities and FX. Managed commodity price risk and FX exposure.

  • Centralized workflows and enhanced processes for greater efficiency. Improved hedge program effectiveness and governance.

  • Led cash operations/positioning/pooling and short-term investing/borrowing. Optimized treasury processes for stronger control and transparency.  

  • Delivered robust short- and long-term cash flow forecasts. Strengthened liquidity risk management through scenario planning and analysis.

  • Oversaw credit policies and assessed customer creditworthiness. Improved receivables collection and reduced DSO. Structured credit facilities, funding sources, and debt issuance. Ensured covenant compliance and met regulatory reporting requirements. 

  • Provided strategic insight and recommendations to senior leadership. Produced high-quality treasury reporting for management and stakeholders. Partnered with finance, accounting, and business teams to drive enterprise-wide financial management.