Finance and Accounting
Advanced Treasury and Liquidity Management
Overview:
Introduction:
This training program is designed to delve into optimizing working capital, forecasting cash flows, and managing financial risks in a global economy. It aims to provide participants with the expertise needed to ensure the company's financial stability and resilience in a competitive market.
Program Objectives:
By the end of the training, participants will be able to:
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Master advanced treasury management techniques for efficient capital allocation and liquidity management.
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Develop and implement strategic cash flow forecasting models.
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Learn to mitigate financial risks, including currency, interest rate, and credit risks.
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Understand global trends in liquidity management and treasury operations.
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Analyze case studies on advanced treasury strategies and liquidity issues in multinational corporations.
Target Audience:
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Chief Financial Officers (CFOs).
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Treasury Managers and Senior Treasury Analysts.
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Financial Controllers.
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Corporate Finance Executives.
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Risk Management Professionals.
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Senior Financial Analysts.
Program Outlines:
Unit 1:
Advanced Treasury Strategies:
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Strategic Role of Treasury in Corporate Finance.
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Centralized vs. Decentralized Treasury Models.
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Treasury Technology and Automation Tools.
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Global Treasury Management Systems.
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Treasury Performance Metrics and Benchmarking.
Unit 2:
Liquidity Forecasting and Cash Management:
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Developing Advanced Cash Flow Forecasting Models.
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Liquidity Ratios and Key Performance Indicators.
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Cash Pooling Strategies for Multinational Corporations.
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Managing Seasonal Liquidity Fluctuations.
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Techniques for Optimizing Working Capital.
Unit 3:
Financial Risk Management:
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Identifying and Managing Currency Risk.
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Interest Rate Risk and Hedging Strategies.
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Credit Risk Management and Counterparty Risk.
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Managing Commodity Price Risk in Treasury Operations.
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Integration of Risk Management into Treasury Functions.
Unit 4:
Debt and Investment Management:
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Strategies for Managing Short-term and Long-term Debt.
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Bond Issuance and Debt Refinancing Techniques.
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Investment of Surplus Liquidity.
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Capital Markets Instruments for Liquidity Management.
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Structured Finance and Securitization in Treasury.
Unit 5:
Compliance and Regulatory Frameworks:
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Understanding Global Regulatory Environment for Treasury.
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Basel III and Liquidity Coverage Ratio (LCR).
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Compliance with IFRS 9 for Financial Instruments.
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Managing Treasury Audits and Internal Controls.
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ESG Considerations in Treasury and Liquidity Management.