Mastery of Treasury and Cash Management in the Public Sector

Course Info

Date: Apr-14-2025

Length: 1 Week

City: Istanbul

Fees: 3,900

Type: In Classroom

Available Dates

  • Dec-02-2024

    Istanbul

  • Dec-30-2024

    Istanbul

  • Jan-13-2025

    Istanbul

  • Feb-10-2025

    Istanbul

  • Mar-10-2025

    Istanbul

  • Apr-14-2025

    Istanbul

  • May-12-2025

    Istanbul

  • June-09-2025

    Istanbul

  • July-14-2025

    Istanbul

  • Aug-11-2025

    Istanbul

  • Sep-08-2025

    Istanbul

  • Oct-13-2025

    Istanbul

  • Nov-10-2025

    Istanbul

  • Dec-08-2025

    Istanbul

Dates in Other Venues

  • Nov-25-2024

    London

  • Nov-25-2024

    Amsterdam

  • Dec-02-2024

    Kuala Lumpur

  • Dec-09-2024

    Singapore

  • Dec-09-2024

    Paris

  • Dec-16-2024

    Dubai

  • Dec-16-2024

    Barcelona

  • Dec-23-2024

    Kuala Lumpur

  • Dec-23-2024

    Amsterdam

  • Dec-30-2024

    London

  • Jan-06-2025

    Dubai

  • Jan-06-2025

    Barcelona

  • Jan-13-2025

    Kuala Lumpur

  • Jan-20-2025

    Singapore

  • Jan-20-2025

    Paris

  • Jan-27-2025

    Amsterdam

  • Jan-27-2025

    London

  • Feb-03-2025

    Barcelona

  • Feb-03-2025

    Dubai

  • Feb-10-2025

    Kuala Lumpur

  • Feb-17-2025

    Singapore

  • Feb-17-2025

    Paris

  • Feb-24-2025

    Amsterdam

  • Feb-24-2025

    London

  • Mar-03-2025

    Barcelona

  • Mar-03-2025

    Dubai

  • Mar-10-2025

    Kuala Lumpur

  • Mar-17-2025

    Singapore

  • Mar-17-2025

    Paris

  • Mar-24-2025

    Amsterdam

  • Mar-24-2025

    London

  • Apr-07-2025

    Dubai

  • Apr-07-2025

    Barcelona

  • Apr-14-2025

    Kuala Lumpur

  • Apr-21-2025

    Singapore

  • Apr-21-2025

    Paris

  • Apr-28-2025

    Amsterdam

  • Apr-28-2025

    London

  • May-05-2025

    Barcelona

  • May-05-2025

    Dubai

  • May-12-2025

    Kuala Lumpur

  • May-19-2025

    Singapore

  • May-19-2025

    Paris

  • May-26-2025

    London

  • May-26-2025

    Amsterdam

  • June-02-2025

    Dubai

  • June-02-2025

    Barcelona

  • June-09-2025

    Kuala Lumpur

  • June-16-2025

    Singapore

  • June-16-2025

    Paris

  • June-23-2025

    Amsterdam

  • June-30-2025

    Barcelona

  • June-30-2025

    Dubai

  • June-30-2025

    London

  • July-07-2025

    Barcelona

  • July-07-2025

    Dubai

  • July-14-2025

    Kuala Lumpur

  • July-21-2025

    Paris

  • July-21-2025

    Singapore

  • July-28-2025

    Amsterdam

  • July-28-2025

    London

  • Aug-04-2025

    Dubai

  • Aug-04-2025

    Barcelona

  • Aug-11-2025

    Kuala Lumpur

  • Aug-18-2025

    Paris

  • Aug-18-2025

    Singapore

  • Aug-25-2025

    London

  • Aug-25-2025

    Amsterdam

  • Sep-01-2025

    Barcelona

  • Sep-01-2025

    Dubai

  • Sep-08-2025

    Kuala Lumpur

  • Sep-15-2025

    Paris

  • Sep-15-2025

    Singapore

  • Sep-22-2025

    Amsterdam

  • Sep-29-2025

    Dubai

  • Sep-29-2025

    London

  • Sep-29-2025

    Barcelona

  • Oct-06-2025

    Dubai

  • Oct-06-2025

    Barcelona

  • Oct-13-2025

    Kuala Lumpur

  • Oct-20-2025

    Paris

  • Oct-20-2025

    Singapore

  • Oct-27-2025

    London

  • Oct-27-2025

    Amsterdam

  • Nov-03-2025

    Barcelona

  • Nov-03-2025

    Dubai

  • Nov-10-2025

    Kuala Lumpur

  • Nov-17-2025

    Singapore

  • Nov-17-2025

    Paris

  • Nov-24-2025

    Amsterdam

  • Nov-24-2025

    London

  • Dec-01-2025

    Dubai

  • Dec-01-2025

    Barcelona

  • Dec-08-2025

    Kuala Lumpur

  • Dec-15-2025

    Paris

  • Dec-15-2025

    Singapore

  • Dec-22-2025

    Amsterdam

  • Dec-29-2025

    Barcelona

  • Dec-29-2025

    London

  • Dec-29-2025

    Dubai

Course Details

Course Outline

5 days course

Fundamentals of Treasury Management

  • Introduction to Treasury Management: Importance and Role in the Public Sector
  • Overview of Regulatory Framework and Compliance
  • Types of Treasury and Cash Products
  • Introduction to Cash Flows and Liquidity

Cash Forecasting and Liquidity Management

  • Importance of Cash Forecasting and Liquidity Management
  • Techniques for Effective Cash Forecasting
  • Managing Short-term Liquidity and Working Capital
  • Bank Relationship Management for Liquidity

Risk Management in Treasury Operations

  • Identifying Risks in Treasury and Cash Management
  • Market Risk, Credit Risk, and Operational Risk
  • Risk Mitigation Strategies: Hedging, Diversification, etc.
  • Developing a Treasury Risk Management Policy

Control and Internal Processes

  • Importance of Controls in Treasury Management
  • Internal Controls and Segregation of Duties
  • Reconciliation Processes
  • Performance Metrics and KPIs for Treasury Functions

Technology and Future Trends

  • Role of Technology in Modern Treasury Management
  • Treasury Management Systems (TMS) and Software Solutions
  • Blockchain and Artificial Intelligence in Treasury
  • Future Trends and Developments in Public Sector Treasury Management

Course Video