LONDON
14 Cambridge Court, 210 Shepherds Bush Road,London W6 7NJ
+44 20 36 916 970 | +44 20 80 900 464
Kuala Lumpur
No. 3273 Level 32, Menara Prestige, 1, Jalan Pinang, 50450 Kuala Lumpur
+60 19 305 5694
Barcelona
Av del Portal de l'Àngel, 36, Ciutat Vella, 08002 Barcelona, Spain
+34 931 311 600
Treasury and Cash Management Training
Length:
Type:
Available Dates
Course Details
Cash and Treasury Management can be understood as the planning, organizing and controlling holding, funds and working capital of the enterprise in order to make the best possible use of the funds, maintain a firm’s liquidity, reduce the overall cost of funds, and mitigate operational and financial risk.
Treasury Management aims to ensure that adequate cash is available with the organization, during the outflow of funds. Further, it also contributes to optimum utilization of funds and makes sure that there are no unutilized funds kept in the firm for a very long term
This course is designed for finance, treasury and banking professionals who need to gain a deeper practical knowledge of cash and treasury management techniques. The course will assist the delegates with an in-depth understanding of complexities linked with cash and treasury management functions.
Course Outline
Course Video