This course aims to increase participants’ proficiency in Treasury and Cash Management principles and practices. It is directed toward professionals seeking insights into practical, real-life concepts. It allows them to manage financial activities efficiently, treat risks proactively, and make informed decisions based on concrete and tangible metrics. Participants will learn to develop a practical Treasury Management framework based on applied efforts and practical scenarios.
The course also equips attendees with the necessary tools to excel in their roles, drive value within their organizations, and stay current with industry trends.
Course Objectives
By the end of the course, participants will be able to:
Target Audience
This course has been designed for intermediate- and advanced-level professionals working in treasury, finance, accounting, risk management, audit, governance, and regulation of financial services, as well as project managers, finance managers, functional managers, senior managers, board members, and all individuals interested in Treasury and Cash Management.
Target Competencies
Course Methodology
The course uses interactive techniques, such as brief presentations by consultants and participants. It also features several group exercises, case studies, interactive discussions, and practical simulations to help participants consolidate their learning experience.
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Course Title | Date | Location | Price | Developing Fire Risk Assessment PlansRisk Management | 19 - 23 January, 2025 | 5 Days | Dubai, United Arab Emirates | KD 1,650.00 | Governance Arms of Risk ManagementFinance And Budgeting | 19 - 23 January, 2025 | 5 Days | Doha, Qatar | KD 1600 | Security Risk Assessment and ManagementManagment | 19 - 23 January, 2025 | 5 Days | Cairo, Egypt | KD 1,400.00 | Financial Modeling in the Oil & Gas IndustryFinance And Budgeting | 20 - 24 January, 2025 | 5 Days | Rome, Italy | Contact Us for Price |
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