This course is intended to provide finance professionals with
up-to-date knowledge of the essential elements of corporate cash and
treasury management, how to implement that knowledge in order to
deliver valued-added services across the company and to demonstrate
their true worth to the business.
Benefits of Attending
- Know which treasury strategies to implement
- Gain a concise understanding of the timeframe to maximise returns
- Understand structured derivative products and how and when to use them
- Acquire a thorough understanding of how the financial system and individual products work
- Understand the rationale and treasury management strategies that financial players employ
- Analyse the products and strategies used to manage risk
- Become an International Certified Treasury Analyst professional with the Global Academy of Finance Management in the USA

- Enseignant: Paul T Mapasure