Treasury Management

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Treasury Management
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T2048

Singapore

23 Nov 2026 -27 Nov 2026

6300

Overview

Introduction:

Treasury management is a strategic financial function that ensures the effective management of an organization's liquidity, funding, investments, and financial risks to support operational stability and long term growth. It integrates cash management, liquidity planning, working capital management, investment strategies, funding decisions, financial risk management, regulatory compliance, and treasury governance to optimize financial performance. This training program explores treasury management principles, operational frameworks, strategic planning methodologies, and governance practices. It provides an institutional perspective on how effective treasury management enhances financial resilience, operational efficiency, and organizational value.

Program Objectives:

By the end of this program, participants will be able to:

  • Analyze treasury management principles and governance frameworks.

  • Evaluate cash management, liquidity planning, and funding strategies.

  • Assess investment management and financial risk mitigation practices.

  • Examine treasury operations, regulatory compliance, and internal control requirements.

  • Explore strategic treasury management approaches that enhance financial performance.

Target Audience:

  • Treasury Managers and Officers.

  • Finance Managers.

  • Corporate Treasurers.

  • Risk Management Professionals.

  • Financial Analysts and Accountants.

Program Outline:

Unit 1:

Foundations of Treasury Management:

  • Treasury management principles and organizational roles.

  • Treasury governance and policy frameworks.

  • Cash management and liquidity management concepts.

  • Treasury functions within financial management.

  • Strategic objectives of treasury operations.

Unit 2:

Cash and Liquidity Management:

  • Cash flow forecasting frameworks.

  • Liquidity planning and funding strategies.

  • Working capital management principles.

  • Payment, collection, and cash concentration structures.

  • Short term liquidity optimization methodologies.

Unit 3:

Treasury Investments and Funding:

  • Investment policy and treasury investment frameworks.

  • Short-term and long term investment instruments.

  • Capital funding and financing structures.

  • Debt management and capital market financing.

  • Portfolio diversification and treasury investment governance.

Unit 4:

Financial Risk Management in Treasury:

  • Interest rate, foreign exchange, and liquidity risk frameworks.

  • Credit and counterparty risk management.

  • Hedging strategies and derivative instruments.

  • Treasury risk monitoring and reporting.

  • Regulatory compliance and treasury controls.

Unit 5:

Digital Treasury and Strategic Treasury Management:

  • Treasury management systems (TMS) and digital treasury platforms.

  • Treasury analytics and decision-support systems.

  • Automation and artificial intelligence in treasury operations.

  • Cybersecurity and operational resilience in treasury management.

  • Emerging trends and strategic developments in treasury management.