Pideya Learning Academy

Financial Reporting and Treasury Risk Management in Oil & Gas Industry

Upcoming Schedules

  • Live Online Training
  • Classroom Training

Date Venue Duration Fee (USD)
21 Jul - 30 Jul 2025 Live Online 10 Day 5250
15 Sep - 24 Sep 2025 Live Online 10 Day 5250
06 Oct - 15 Oct 2025 Live Online 10 Day 5250
24 Nov - 03 Dec 2025 Live Online 10 Day 5250
20 Jan - 29 Jan 2025 Live Online 10 Day 5250
10 Mar - 19 Mar 2025 Live Online 10 Day 5250
14 Apr - 23 Apr 2025 Live Online 10 Day 5250
19 May - 28 May 2025 Live Online 10 Day 5250

Course Overview

The Pideya Learning Academy presents the Financial Reporting and Treasury Risk Management in Oil & Gas Industry training course, a specialized program designed to equip professionals with the critical financial acumen required to navigate the complex and dynamic energy sector. In an industry characterized by price volatility, regulatory scrutiny, and evolving economic landscapes, mastering treasury functions and financial reporting is imperative for organizational resilience and profitability.
The Oil & Gas industry faces unparalleled financial challenges, with fluctuating commodity prices, geopolitical risks, and intricate regulatory requirements affecting cash flow and liquidity management. According to industry reports, more than 60% of oil and gas companies experience significant financial risk due to currency fluctuations, while 85% of energy firms cite liquidity management as a top priority in maintaining financial stability. Additionally, research indicates that improper risk management strategies contribute to annual losses exceeding $20 billion globally, underscoring the need for professionals to stay ahead with robust financial strategies and compliance-driven reporting standards.
This Pideya Learning Academy course delves deep into the intersection of Treasury Management and Financial Reporting, ensuring that participants develop a strategic approach to financial stability, liquidity enhancement, and regulatory compliance. By aligning corporate financial objectives with International Financial Reporting Standards (IFRS) and contemporary risk management techniques, participants will gain a competitive edge in making informed, data-driven financial decisions.
Participants will explore cutting-edge methodologies to safeguard corporate assets, mitigate credit and interest rate risks, and optimize cash flow for long-term sustainability. The course also covers the intricate relationship between financial instruments, regulatory compliance, and strategic treasury operations, ensuring that professionals can effectively analyze financial statements and manage economic exposure in capital-intensive environments like oil and gas.
Key takeaways from this Pideya Learning Academy training include:
Understanding the fundamental role of Treasury Management in corporate finance and risk mitigation.
Employing advanced tools and models to assess and manage financial risks effectively.
Enhancing liquidity and cash flow strategies to maximize organizational financial health.
Exploring the impact of exchange rate fluctuations, interest rate risks, and investment strategies on corporate finance.
Applying IFRS standards and best practices for transparent, compliant, and strategic financial reporting.
Analyzing financial statements to derive key insights for decision-making and performance improvement.
By the end of this Financial Reporting and Treasury Risk Management in Oil & Gas Industry training, participants will be well-equipped to tackle financial uncertainties with confidence, ensuring their organizations maintain a competitive advantage in a volatile global market. The Pideya Learning Academy remains committed to delivering industry-focused knowledge that empowers professionals to enhance financial stability, regulatory adherence, and strategic decision-making in the oil and gas sector.

Course Objectives

After completing this Pideya Learning Academy training, participants will learn to:
Manage cash, liquidity, and working capital effectively to optimize finance costs and returns.
Make strategic, well-informed decisions in alignment with organizational goals.
Develop and implement comprehensive risk management strategies.
Recommend and evaluate risk mitigation options, including hedging strategies.
Enhance corporate governance and strengthen stakeholder relationships.
Apply IFRS standards to ensure accurate financial reporting and compliance.
Analyze and interpret financial statements to support decision-making processes.
Benchmark organizational performance using publicly available industry data.

Personal Benefits

Attendees of this training course will:
Acquire advanced knowledge and skills relevant to their roles.
Enhance their ability to contribute effectively to organizational objectives.
Make better financial decisions using advanced models and analysis techniques.
Build confidence in handling complex financial scenarios.
Strengthen their capacity to collaborate across departments.
Gain greater job satisfaction through enhanced expertise and recognition.
Develop leadership skills in supervising and motivating team members.

Organisational Benefits

Participating in this Pideya Learning Academy course will enable organizations to:
Enhance decision-making capabilities and strategic focus.
Improve financial risk management across key areas such as credit, currency, and commodity prices.
Optimize liquidity and investment strategies for greater profitability.
Strengthen corporate governance and stakeholder relationships.
Elevate the quality of financial reporting and management information.
Foster a culture of financial excellence and innovation.
Leverage financial analysis for benchmarking against competitors and co-venturers.

Who Should Attend

This training is ideal for a wide range of professionals, including:
Finance and Treasury specialists seeking to refine their expertise.
Decision-makers responsible for financial strategy and risk management.
Managers with financial responsibilities looking to deepen their knowledge.
Professionals involved in implementing financial decisions.
Individuals with a keen interest in staying updated on financial trends and market developments.
This Pideya Learning Academy course is especially beneficial for those in the Oil & Gas sector and related industries, aiming to enhance their understanding of Treasury operations, risk management, and IFRS application.

Course Outline

Module 1: Fundamentals of Treasury Management
Treasury Management: Scope and Functions Treasury Department Structures: Centralized vs Decentralized Treasury as a Cost or Profit Center Cash and Liquidity Management Principles Working Capital Optimization Capital and Finance Management Fundamentals Overview of Risk Management in Treasury
Module 2: Advanced Cash and Liquidity Management
Cash Flow Forecasting Techniques Strategies for Managing Cash Surpluses Addressing Short-term Cash Shortages and Financing Needs Optimizing Multi-national and Group Cash Management Cash Budgeting Processes and Controls Liquidity Strategies for Enhanced Efficiency
Module 3: Working Capital and Financial Management
Defining Optimal Working Capital Levels Assessing Short-Term vs Long-Term Financing Needs Strategic Investment of Working Capital Surpluses Enhancing Operational Cash Cycles Managing Seasonal and Cyclical Financial Variances
Module 4: Capital Management and Strategic Financing
Aligning Capital Management with Strategic Objectives Exploring Financing Options: Equity vs Debt Capital Structure Optimization: Reducing WACC Utilizing the Capital Asset Pricing Model (CAPM) Capital Investment Appraisal Techniques: NPV, IRR, and Payback Managing Capital Rationing Scenarios
Module 5: Comprehensive Risk Management
Risk Identification: Internal and External Drivers Quantitative Risk Measurement Techniques Developing Effective Risk Management Strategies Applying the 4 T’s Framework: Tolerate, Terminate, Transfer, Treat Designing and Implementing Internal Controls Counterparty and Credit Risk Management Approaches
Module 6: Financial Risk Mitigation Strategies
Managing Currency Risk with Forward Contracts and Swaps Interest Rate Risk Hedging Instruments Commodity Price Risk Strategies: Futures and Options Foreign Currency Borrowing and Accounts Management Derivatives Usage in Risk Mitigation
Module 7: IFRS and Accounting Standards in Energy Sector
Overview of IFRS for Oil & Gas Industry Impact of Commodity Prices on Financial Strategy Political and Environmental Factors in Financial Accounting Strategic Growth Implications of Accounting Standards Financial Statements Analysis for Petroleum Companies
Module 8: Asset Accounting in Energy Sector
IAS 16: Accounting for Property, Plant, and Equipment Depletion, Depreciation, and Amortization Techniques IFRS 6: Exploration and Evaluation of Mineral Resources IFRS 13: Applications of Fair Value Measurement Inventory Valuation under IAS 2 Best Practices in Reserve Reporting
Module 9: Accounting for Joint Ventures and Business Combinations
IFRS 3: Accounting for Business Combinations IFRS 10: Consolidated Financial Statements Framework IFRS 11: Joint Arrangements Analysis IAS 38: Accounting for Intangible Assets Production Sharing Agreements and Break-even Analysis
Module 10: Cash Flow and Financial Instrument Accounting
IAS 7: Statement of Cash Flows in Energy Sector Role of Derivatives in Commodity and Currency Risk Mitigation IFRS 7 and IFRS 9: Financial Instrument Disclosures and Standards Treasury Management for Multi-national Entities Case Studies: Cash Flow Strategies in Leading Petroleum Companies
Module 11: Corporate Governance and Ethical Financial Practices
Principles of Creative Accounting and Regulatory Challenges Corporate Governance Frameworks in Energy Sector Role of Audit Committees and External Auditors Internal Audit Processes and Risk Control Measures Lessons from Case Studies: Enron and Investor Protection

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