EXECUTIVE SUMMARY
This Treasury & Cash Management course is designed to equip professionals with the essential skills and knowledge to effectively manage treasury operations, optimize cash flow, and mitigate financial risks. Whether you're in the Arab Gulf, Africa, or beyond, this course offers flexible learning options, including online training and in-person courses, delivered by expert trainers with global experience. Participants will gain a professional certification upon completion, enhancing their career prospects and organizational value.
INTRODUCTION
In today’s dynamic financial landscape, effective treasury and cash management is critical for organizational success. This course provides a comprehensive understanding of treasury functions, cash flow optimization, risk management, and the latest industry tools and practices. Tailored for professionals in the Arab Gulf, Africa, and other regions, it combines theoretical knowledge with practical applications, ensuring participants can implement strategies that drive financial efficiency and stability.
COURSE OBJECTIVES
- Understand the fundamentals of treasury and cash management.
- Learn techniques to optimize cash flow and liquidity.
- Develop strategies to mitigate financial risks.
- Gain proficiency in using treasury management systems (TMS).
- Explore global best practices in treasury operations.
- Enhance decision-making skills for financial planning.
- Prepare for professional certification in treasury management.
TARGET AUDIENCE
This course is ideal for:
- Treasury managers and analysts.
- Finance professionals seeking to specialize in cash management.
- Corporate bankers and financial consultants.
- Business owners and entrepreneurs managing their finances.
- Professionals aiming for professional certification in treasury management.
COURSE OUTLINE
Day 1: Introduction to Treasury & Cash Management
- Overview of treasury functions.
- Key concepts in cash flow management.
Day 2: Cash Flow Optimization
- Techniques for liquidity management.
- Tools for forecasting cash flow.
Day 3: Risk Management in Treasury
- Identifying and mitigating financial risks.
- Hedging strategies and instruments.
Day 4: Treasury Management Systems (TMS)
- Overview of TMS tools.
- Practical applications and case studies.
Day 5: Global Best Practices & Certification Prep
- International treasury standards.
- Final assessment and certification guidance.
COURSE DURATION
This course is available in different durations: 1 week (intensive training), 2 weeks (moderate pace with additional practice sessions), 3 weeks (comprehensive learning experience). The course can be attended in-person or online, depending on the trainee's choice.
INSTRUCTOR INFORMATION
This course is delivered by expert trainers from different parts of the world, bringing global experience and best practices.
F&Q
- Who should attend this course? Treasury managers, finance professionals, and business owners.
- What are the key benefits of this training? Enhanced cash flow management, risk mitigation, and professional certification.
- Do participants receive a certificate? Yes, all participants will receive a certificate upon successful completion of the course.
- What language is the course delivered in? The course is available in English and Arabic.
- Can I attend online? Yes, you can attend in-person in one of the cities, online, or in-house at your company.