Date | Venue | Duration | Fee (USD) |
---|---|---|---|
10 Feb - 19 Feb 2025 | Live Online | 10 Day | 5250 |
24 Mar - 02 Apr 2025 | Live Online | 10 Day | 5250 |
26 May - 04 Jun 2025 | Live Online | 10 Day | 5250 |
16 Jun - 25 Jun 2025 | Live Online | 10 Day | 5250 |
07 Jul - 16 Jul 2025 | Live Online | 10 Day | 5250 |
25 Aug - 03 Sep 2025 | Live Online | 10 Day | 5250 |
20 Oct - 29 Oct 2025 | Live Online | 10 Day | 5250 |
08 Dec - 17 Dec 2025 | Live Online | 10 Day | 5250 |
Treasury management today plays a pivotal role in ensuring an organization’s financial stability and strategic growth. It goes beyond basic fund management to encompass liquidity optimization, capital structuring, currency and interest rate risk mitigation, and advanced forecasting models. The integrated training course, Treasury Products and Management Strategies, is a comprehensive program combining foundational treasury management principles with in-depth analysis of treasury products and contemporary risk mitigation techniques. It is tailored to provide participants with advanced financial acumen necessary to navigate modern treasury functions.
This course is a consolidated learning experience derived from two leading programs: Treasury Management Fundamentals and Treasury Products and Risk Mitigation Techniques. It delves into the responsibilities of treasury professionals, from daily liquidity operations and corporate financing decisions to managing complex derivatives and understanding global market instruments.
Global financial statistics reflect the growing significance of treasury operations. According to the 2024 AFP Liquidity Survey, 72% of organizations held short-term investments in U.S. dollar deposits, while 58% cited risk management as a top priority in treasury decisions. Furthermore, McKinsey & Company’s treasury benchmarking data indicates that companies with optimized treasury functions realize up to 15% improvement in working capital and 20% reduction in FX losses annually. This underscores the need for modern treasury departments to blend efficiency with robust risk strategies.
The course also evaluates the structure and role of central treasury operations, including netting, in-house banking, and the critical importance of policies and controls. It provides holistic insights into hedging mechanisms, interest rate exposure, derivatives management, and yield curve applications. Key highlights of the training include a solid understanding of financial instruments like swaps, options, and futures; in-depth knowledge of forward markets and currency exposures; and risk quantification through valuation and modeling techniques.
Participants will develop the ability to assess both upside and downside risks, advise internal stakeholders, and implement structured risk controls. Moreover, they will gain clarity on yield curve analysis, investment strategy, and performance benchmarking using tools such as DVP/PVP systems, IRRs, and TBills, all within a controlled governance framework.
By the end of this training, participants will be able to:
Understand the complete function and strategic role of corporate treasury.
Apply cash management techniques including cash forecasting, liquidity planning, and ratio analysis.
Navigate treasury products such as derivatives, debt instruments, and forex tools for risk mitigation.
Comprehend asset-liability management (ALM) and assess the effectiveness of treasury policies.
Analyze market risks, pricing mechanisms, and investment opportunities within global financial frameworks.
Learn valuation methods for equities, bonds, and other financial instruments.
Build insights into regulatory frameworks such as IAS 39 and CLS banking.
Evaluate and implement strategic hedging models aligned with corporate objectives.
Participants completing the course will:
Gain deep knowledge in treasury instruments, yield analysis, and valuation methods.
Develop analytical skills to assess and optimize risk exposures.
Understand the nuances of treasury strategy and policy development.
Increase competency in interpreting market instruments and making data-driven decisions.
Be positioned for higher responsibilities in treasury and financial control roles.
Broaden their strategic perspective on international financial markets.
Organizations enrolling employees in this program will gain:
Strengthened treasury functions with advanced risk-mitigation capabilities.
Streamlined cash and liquidity management for enhanced capital utilization.
Alignment with international financial standards and compliance practices.
Improved internal governance through the development of robust treasury policies.
Enhanced treasury strategy planning, contributing to long-term organizational sustainability.
This course is ideal for:
Treasury, finance, and accounting professionals seeking advanced treasury knowledge.
Corporate finance officers, financial controllers, and senior managers.
Investment analysts, fund managers, and treasury consultants.
Banking professionals, especially those in trading, risk management, and product development.
Government regulators and finance ministry personnel involved in financial oversight.
CFOs, treasurers, and anyone responsible for financial policy-making and capital planning.
We’re here to help! Reach out to us for any inquiries about our courses, training programs, or enrollment details. Our team is ready to assist you every step of the way.