|
|
Workshop on Treasury Management for the Oil & Gas Industry Best Practices: Maximizing Liquidity & Risk Management
USD 4,500
|
Venue: Venue: Great Hotel Kiyovu, 12 KN 41 Street, Kigali Kiyovu, Kigali, Rwanda
Other Dates
| Venue | Date | Fee | |
|---|---|---|---|
| Venue: Ramada by Wyndham Hotel, Dubai Deira, 155, Salahuddin Road, Deira, Dubai, UAE , United Arab Emirates | 09 - 13 Mar, 2026 | USD4500 | |
| Venue: Aurora Beach Hotel, Nungwi, Zanzibar, Tanzania , Tanzania | 13 - 17 Apr, 2026 | USD4500 | |
| Venue: Premier Inn London Stratford hotel 9, International Square, Westfield Stratford City, Mountfitchet Rd, London E20 1EE, United Kingdom | 08 - 12 Jun, 2026 | USD4500 | |
| Venue: Holiday Inn Express Sandton-Woodmead, an IHG Hotel, Woodmead North Office Park, 2194, Johannesburg, South Africa, South Africa | 10 - 14 Aug, 2026 | USD4500 | |
| Venue: The Palace Pyramids Hotel, Farouk Ahmed Khattab, Giza, 12557 Cairo, Egypt, Egypt | 14 - 18 Sep, 2026 | USD4500 | |
| Venue: Seaview Garden Hotel, Isha B Roche C/o Trust Bank Ltd, Banjul, Kololi, Gambia, Gambia | 19 - 23 Oct, 2026 | USD4500 |
Program Overview:
Treasury Management ensures sufficient liquidity to meet its obligations, whilst managing payments, receipts and financial risks such as Credit Risk, Oil Price, Exchange Rate and Interest Rate Risk effectively. In addition, effective Treasury & Risk management will enable companies to make informed and better strategic decisions, providing the analysis, finance and risk assessment.
This training program is designed to provide participants with the essential knowledge and skills to manage the Treasury functions in the oil and gas industry effectively, thereby improving liquidity, investment returns and international cash flow as well as risk management. This highly interactive course will develop participants’ ability to prepare, use and critically evaluate information, applying specialist industry knowledge and relevant analytical skills.
For whom:
This program is designed for accounting professionals, treasury professionals, financial decision makers, internal and external auditors and regulators, finance managers, and others with financial responsibilities in oil and gas industry will greatly benefit from this program
Learning objectives:
At the end of the program, participants will be able to:
- identify the scope and concepts of the treasury department.
- improve their skills and knowledge of corporate treasury management and the treasury function;
- use the best practices for asset, liability management and cash management techniques;
- explain the role of money markets and capital market products to fund institutions;
- explain the financial instruments under (IFRS) and (GAAP);
- recognise and use commodity derivative products; and
- apply different hedging techniques frequently used by the treasury department.
Course outline:
Day 1: - Overview of Treasury Function in Oil & Gas Industry
- The concept and responsibilities of the treasury function
- The role of the treasury and treasurer:
- raising capital, managing bank relationships
- money management, managing (corporate) risks
- Treasury organisation and structure
- A treasury control framework
- Treasury performance management
Day 2: - Cash & Liquidity Management
- Cash management objectives
- Working capital management
- Managing and accelerating collections
- Ratio analysis for decision making.
- Cash flow forecasting
- Purpose of cash flow forecasting
- Types of forecasts
- The forecasting processes.
- Forecasting methods
Day 3: - Treasury Funding and Investing
- Managing short-term borrowing
- Long-term debt financing
- Short-term interest rates versus long-term interest rates
- Loan agreements and covenants
- Credit rating agencies
- Bonds as a tool for long-term investing and funding
- Managing short-term investments
- Long-term equity investments and stocks
- Equity valuation techniques
Day 4: - Treasury Policies and Procedures
- Bank accounts and Financial Services Authority policy
- Payment’s policy
- Collection and concentration policy
- Regulatory compliance policies
- Regulatory requirements
- Internal policies
- Service provision
- Treasury systems policy
Day 5: - Risk Management & Best Practices in Oil & Gas Industry
- Why manage financial risk?
- Principal treasury-related financial risks.
- The management of financial risks
- Currency Risk Management
- interest rate & commodity (oil price) risk management
- Forward Contracts and Forward Rate Agreements
- Options – Calls & Puts
- Futures – Market Correlation; Margin Payments, etc.
- Swaps – Currency & Interest Rate Risk and Benefits
- Foreign Currency Accounts and Other Internal Methods / Tactics
- Foreign Currency Borrowing
- Best practices in managing treasury risks.
This course package includes: Course material in soft copy, Tea break, Lunch, City tour, and certificate of attendance.
A Core 1.5 laptop with the soft copy of the course material loaded with a carrying bag will be presented to the participants at the end of the course.
Note: Payment is either USD or the prevailing parallel market rate. We do not accept the government official rate.
Training Methodology: Lectures, discussions, exercises, case studies, and audio-visual aids will be used to reinforce these teaching/learning methods
Course Booking
Please use the “book now” or “inquire” buttons on this page to either book your space or make further enquiries.
| Venue: Great Hotel Kiyovu, 12 KN 41 Street, Kigali Kiyovu, Kigali, Rwanda | Mar 09 - 13 Mar, 2026 |
| Venue: Ramada by Wyndham Hotel, Dubai Deira, 155, Salahuddin Road, Deira, Dubai, UAE , United Arab Emirates | 09 - 13 Mar, 2026 |
| Venue: Aurora Beach Hotel, Nungwi, Zanzibar, Tanzania , Tanzania | 13 - 17 Apr, 2026 |
| Venue: Premier Inn London Stratford hotel 9, International Square, Westfield Stratford City, Mountfitchet Rd, London E20 1EE, United Kingdom | 08 - 12 Jun, 2026 |
| Venue: Holiday Inn Express Sandton-Woodmead, an IHG Hotel, Woodmead North Office Park, 2194, Johannesburg, South Africa, South Africa | 10 - 14 Aug, 2026 |
| Venue: The Palace Pyramids Hotel, Farouk Ahmed Khattab, Giza, 12557 Cairo, Egypt, Egypt | 14 - 18 Sep, 2026 |
| Venue: Seaview Garden Hotel, Isha B Roche C/o Trust Bank Ltd, Banjul, Kololi, Gambia, Gambia | 19 - 23 Oct, 2026 |
Registration: 09:00:am - 04:30:am
| USD 4,500.00 + 225.00 (VAT) | |
Asije Philip 08029170491, 08068933608, 07087578814, 08051365946, 08145745664, 09112830607
Tags: |
Treasury Management Oil & Gas Industry Financial Management Cash Management Financial Risk Liquidity Management Training Course Seminar Workshop Kenya Gambia Dubai Egypt |
Related Courses
5 days, 16 - 20 Feb, 2026
Human Capital Associates Global Consult Ltd
5 days, 23 - 27 Mar, 2026
Human Capital Associates Global Consult Ltd
5 days, 23 - 27 Feb, 2026
Human Capital Associates Global Consult Ltd
5 days, 09 - 13 Mar, 2026
Human Capital Associates Global Consult Ltd