Treasury and Cash Management Training

Course Info

Date:

2026-03-02

Length:

5 Days

Type:

In Classroom

Fees:

£ 3980

City:

Kuala Lumpur

Course ID:

AFBL1008
Available DatesVenue
2025-09-01Kuala Lumpur
2025-12-01Kuala Lumpur
2026-06-01Kuala Lumpur
2026-09-14Kuala Lumpur
2026-12-14Kuala Lumpur
Available DatesOther Venue
2025-08-11Dubai
2025-09-01Istanbul
2025-09-01Amsterdam
2025-09-01Barcelona
2025-09-01Paris
2025-09-01Singapore
2025-09-01London
2025-10-13Dubai
2025-11-10London
2025-12-01Singapore
2025-12-01Istanbul
2025-12-01Dubai
2025-12-01Paris
2025-12-01Barcelona
2025-12-01Amsterdam
2026-01-12London
2026-02-09Dubai
2026-03-02London
2026-03-02Barcelona
2026-03-02Singapore
2026-03-02Amsterdam
2026-03-02Hong Kong
2026-03-02Paris
2026-03-02Istanbul
2026-04-13Dubai
2026-05-11London
2026-06-01Singapore
2026-06-01Amsterdam
2026-06-01Barcelona
2026-06-01Paris
2026-06-01Hong Kong
2026-06-01Istanbul
2026-06-01Dubai
2026-07-13London
2026-08-03Dubai
2026-09-14Istanbul
2026-09-14Barcelona
2026-09-14Singapore
2026-09-14Amsterdam
2026-09-14London
2026-09-14Paris
2026-09-14Hong Kong
2026-10-12Dubai
2026-11-02London
2026-12-14Barcelona
2026-12-14Hong Kong
2026-12-14Singapore
2026-12-14Amsterdam
2026-12-14Paris
2026-12-14Istanbul
2026-12-14Dubai

Course Details

  • Introduction

  • Objective

  • Who should attend

  • Course Location

 

Cash and Treasury Management can be understood as the planning, organizing and controlling holding, funds and working capital of the enterprise in order to make the best possible use of the funds, maintain a firm’s liquidity, reduce the overall cost of funds, and mitigate operational and financial risk.

 

Treasury Management aims to ensure that adequate cash is available with the organization, during the outflow of funds. Further, it also contributes to optimum utilization of funds and makes sure that there are no unutilized funds kept in the firm for a very long term

 

This course is designed for finance, treasury and banking professionals who need to gain a deeper practical knowledge of cash and treasury management techniques. The course will assist the delegates with an in-depth understanding of complexities linked with cash and treasury management functions.

Course Outline

5 days course
  • Day 1
  • Day 2
  • Day 3
  • Day 4
  • Day 5

 

Corporate Treasury Today

 

  • The importance of cash and liquidity management
  • Trends in today’s treasury market
  • Organisation and structure of treasury in MNCs
  • Managing treasury as a global process
  • The changing role of the corporate treasurer
  • Centralising treasury functions
  • Treasury in an ERP world
  • Passive or active treasury models

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