Euro-training Center
 Treasury Management Best Practices 14 Apr London UK QR Code
Inquiry PDF (37) Like Share   Print

Finance and Accounting

Treasury Management Best Practices


REF : F2314 DATES: 14 - 18 Apr 2025 VENUE: London (UK) FEE : 5300 

Overview:

Introduction:

This training program delves into advanced strategies and best practices in treasury management, enabling professionals to optimize cash flow, manage financial risks, and ensure efficient use of resources. It empowers participants to implement effective treasury practices that drive financial stability and organizational success.

Program Objectives:

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

  • Understand key principles and best practices in treasury management.

  • Optimize cash flow and liquidity management strategies.

  • Implement effective risk management techniques in treasury operations.

  • Develop strategies for efficient management of financial instruments and investments.

  • Enhance decision-making through advanced treasury reporting and analysis.

Targeted Audience:

  • Treasury Managers.

  • Financial Controllers.

  • Chief Financial Officers (CFOs).

  • Cash Managers.

  • Finance Professionals involved in treasury operations.

Program Outline:

Unit 1:

Fundamentals of Treasury Management:

  • Overview of treasury management principles.

  • Role and responsibilities of a treasury function.

  • Key components of an effective treasury management system.

  • Best practices in cash management.

  • Case studies on successful treasury management strategies.

Unit 2:

Cash Flow and Liquidity Management:

  • Techniques for forecasting and managing cash flow.

  • Strategies for optimizing liquidity.

  • Managing short-term and long-term funding needs.

  • Tools and technologies for cash flow management.

  • Examples of effective liquidity management.

Unit 3:

Risk Management in Treasury Operations:

  • Identifying and assessing financial risks.

  • Implementing risk mitigation strategies.

  • Managing interest rate, foreign exchange, and credit risks.

  • Use of financial derivatives for risk management.

  • Case studies on risk management in treasury.

Unit 4:

Management of Financial Instruments and Investments:

  • Overview of financial instruments used in treasury.

  • Strategies for managing investments and cash reserves.

  • Evaluating investment opportunities and risks.

  • Best practices in investment management.

Unit 5:

Advanced Treasury Reporting and Analysis:

  • Key metrics and reports for treasury management.

  • Techniques for analyzing treasury performance.

  • Enhancing transparency and accountability in reporting.

  • Using data analytics for informed decision-making.