Effective treasury and risk management are crucial for the financial health and stability of organizations
Course Schedule
Classroom Sessions:
Date
Venue
Price
26 - 30 Aug 2025
London - UK
$ 5,950
Course Description
INTRODUCTION
Effective treasury and risk management are crucial for the financial health and stability of organizations. The “Treasury and Risk Management” course is designed to provide finance professionals with comprehensive insights into treasury functions, financial risk identification and mitigation, and strategies for optimizing liquidity. Participants will gain practical knowledge and skills to navigate the complexities of financial markets, manage cash flows, and implement risk management frameworks.
WHY IT MATTERS
In an ever-changing economic environment, organizations must be equipped to manage financial risks, optimize cash resources, and ensure long-term stability. This course addresses the importance of strategic treasury and risk management practices to safeguard assets, enhance financial performance, and support overall corporate objectives.
OBJECTIVES
Understand the role and functions of treasury management.
Identify and assess various financial risks faced by organizations.
Learn techniques for optimizing liquidity and managing cash flows.
Explore strategies for interest rate and currency risk management.
Develop skills in implementing effective risk management frameworks.
WHO SHOULD ATTEND ?
This course is suitable for finance professionals, treasury managers, risk managers, and individuals involved in financial decision-making within organizations, including:
Treasury Managers
Finance Managers
Risk Managers
Corporate Treasurers
CFOs and Finance Directors
Financial Analysts
Banking Professionals
Those responsible for treasury and risk management functions
Course Outline
DAY 1
Introduction to Treasury Management
Role and functions of treasury management
Overview of financial markets
Regulatory and compliance considerations
DAY 2
Financial Risk Identification and Assessment
Identifying and assessing market, credit, and operational risks
Quantitative and qualitative risk analysis
Case studies on risk management failures and successes
DAY 3
Liquidity Management and Cash Flow Optimization
Principles of liquidity management
Cash flow forecasting and optimization strategies
Working capital management techniques
DAY 4
Interest Rate Risk Management
Understanding interest rate risk
Interest rate derivatives and hedging strategies
Case studies on interest rate risk management
DAY 5
Currency Risk Management and Framework Implementation
Managing currency risk in global operations
Currency derivatives and hedging techniques
Implementing an effective risk management framework