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Effective Cash and Treasury Management Course

By: Global Business Advisors

United Kingdom

18 - 22 May, 2026  5 days

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USD 4,250

Venue: London

Other Dates

Venue Date Fee  
London, United Kingdom 15 - 19 Jun, 2026 USD4250
London, United Kingdom 27 - 31 Jul, 2026 USD4250

Effective cash and treasury management are essential components of financial management within organizations, ensuring optimal liquidity, efficient cash flow, and effective management of financial risks. The "Effective Cash and Treasury Management" course is designed to provide professionals with a comprehensive understanding of cash and treasury management principles and techniques.

Cash and Treasury Management involves the strategic planning, organization, and control of holding funds and working capital within an enterprise. The objective is to optimize the use of funds, ensure firm liquidity, minimize the overall cost of funds, and mitigate both operational and financial risks.

This course is tailored for finance, treasury, and banking professionals seeking a more profound practical understanding of cash and treasury management techniques. It aims to provide delegates with an in-depth comprehension of the intricacies associated with cash and treasury management functions.

Objective

  • Develop a thorough understanding of cash and treasury management principles, processes, and best practices.
  • Enhance the ability to manage liquidity, working capital, and financial assets effectively.
  • Identify, assess, and mitigate financial risks, including foreign exchange, interest rate, credit, and commodity risks.
  • Gain proficiency in treasury operations, including cash flow forecasting, cash positioning, and investment strategies.
  • Enhance expertise in financial management to effectively address issues related to liabilities, liquidity, and assets.
  • Examine various risks faced by global organizations, including foreign exchange, interest rate, credit, and commodity price risks, and learn methods to identify and manage these risks.
  • Understand the responsibilities, strategies, roles, and tools involved in treasury management, incorporating international standards and best practices.
  • Analyze core principles of cash management to optimize organizational cash flows and maximize returns on portfolio investments.

Course Booking

Please use the “book now” or “inquire” buttons on this page to either book your space or make further enquiries.

London May 18 - 22 May, 2026
London, United Kingdom 15 - 19 Jun, 2026
London, United Kingdom 27 - 31 Jul, 2026
USD 4,250.00(Online: $2550)
(Convert Currency)

Manpreet Gill 004402038836031

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