Treasury and Cash Management Training

Course

Length

5 Days

Type

Classroom

Course ID

AFBL1008

Recognised By

Recognised organisation
VenueAvailable Date
Istanbul06-07-2026
Barcelona06-07-2026
Paris13-07-2026
Kuala Lumpur13-07-2026
Milan13-07-2026
London20-07-2026
Amsterdam20-07-2026
Dubai26-07-2026
Singapore27-07-2026
Amsterdam03-08-2026
Milan03-08-2026
Singapore10-08-2026
Istanbul10-08-2026
Barcelona17-08-2026
Paris17-08-2026
London24-08-2026
Dubai30-08-2026
Kuala Lumpur31-08-2026
Barcelona07-09-2026
London07-09-2026
Dubai13-09-2026
Milan14-09-2026
Kuala Lumpur14-09-2026
Istanbul21-09-2026
Amsterdam21-09-2026
Paris28-09-2026
Singapore28-09-2026
London05-10-2026
Barcelona05-10-2026
Dubai11-10-2026
Kuala Lumpur12-10-2026
Amsterdam19-10-2026
Milan19-10-2026
Istanbul19-10-2026
Singapore26-10-2026
Paris26-10-2026
Amsterdam02-11-2026
Kuala Lumpur09-11-2026
Singapore09-11-2026
Istanbul16-11-2026
Barcelona16-11-2026
Paris23-11-2026
Milan23-11-2026
Dubai29-11-2026
London30-11-2026
Dubai06-12-2026
London07-12-2026
Amsterdam14-12-2026
Milan14-12-2026
Kuala Lumpur14-12-2026
Singapore21-12-2026
Istanbul21-12-2026
Barcelona28-12-2026
Paris28-12-2026

In today’s volatile financial landscape, the role of corporate treasury and cash management has never been more critical. Effective treasury operations not only ensure liquidity and financial stability but also help organisations unlock hidden value, manage risk, and support long-term growth. With globalisation, digitalisation, and regulatory change reshaping financial markets, treasury professionals are expected to combine technical expertise with strategic foresight.


The Treasury and Cash Management Training course by LPC Training provides a comprehensive, practice-oriented approach to mastering modern treasury functions. Over five intensive days, participants will explore everything from cash forecasting and working capital optimisation to hedging, investment strategies, and risk management frameworks. Real-world case studies and interactive sessions will demonstrate how global corporations structure their treasury functions, leverage digital tools, and design policies that align with both operational needs and regulatory standards.


By the end of the course, delegates will not only have a deeper understanding of financial instruments, capital markets, and treasury technologies but also the confidence to design treasury strategies that create resilience and competitive advantage in a rapidly changing environment.