Euro-training Center
 Treasury and Liquidity Management for Intermediate Level 27 Oct Istanbul Turkey QR Code
Inquiry PDF   Like Share   Print

Finance and Accounting

Treasury and Liquidity Management for Intermediate Level


REF : F2798 DATES: 27 - 31 Oct 2024 VENUE: Istanbul (Turkey) FEE : 5300 

Overview:

Introduction:

This training program is designed to deepen participants' understanding of effective treasury operations, liquidity planning, and financial risk management, with practical approaches to enhance organizational decision-making.

Program Objectives:

By the end of this training, participants will:

  •  Understand the role of treasury management in enhancing liquidity.

  •  Develop strategies for optimizing cash flow and managing liquidity risks.

  •  Explore various financial instruments for liquidity management.

  •  Analyze the impact of global financial conditions on liquidity.

  •  Implement effective liquidity forecasting and reporting techniques.

Targeted Audience:

  •  Treasury professionals looking to advance their skills.

  •  Finance managers and analysts.

  •  Accountants involved in liquidity and cash management.

  •  Financial consultants.

  •  Corporate finance professionals dealing with risk management and treasury operations.

Program Outlines:

Unit 1:

Introduction to Treasury and Liquidity Management:

  •  Overview of treasury functions in corporate finance.

  •  Key liquidity concepts: Cash flow vs. profit.

  •  Role of central banks and financial institutions in liquidity.

  •  Corporate governance and its impact on treasury management.

  •  Ethical considerations in treasury operations.

Unit 2: 

Liquidity Planning and Cash Flow Management:

  •  Understanding cash flow cycles in different industries.

  •  Forecasting cash needs and liquidity gaps.

  •  Techniques for cash pooling and centralized treasury management.

  •  Cash flow optimization: Reducing idle balances and excess liquidity.

  •  Managing working capital for improved liquidity.

Unit 3: 

Financial Instruments for Liquidity Management:

  •  Overview of short-term financial instruments: Repos, commercial paper.

  •  Liquidity through credit lines and overdrafts.

  •  Role of bonds and securities in liquidity planning.

  •  Derivatives and hedging for managing liquidity risks.

  •  Understanding money market instruments.

Unit 4:

Liquidity Risk Management:

  •  Identifying and measuring liquidity risk.

  •  Stress testing for liquidity under adverse conditions.

  •  Regulatory requirements: Basel III liquidity coverage ratio (LCR).

  •  Implementing contingency funding plans.

  •  Risk mitigation strategies in corporate liquidity management.

Unit 5: 

Treasury Management Systems and Reporting:

  •  Overview of treasury management systems (TMS).

  •  Automation in liquidity reporting and forecasting.

  •  Data analytics and treasury KPIs.

  •  Treasury reporting under IFRS and GAAP standards.