Treasury Products & Risk Management

Course Info

Length:

5 Days

Type:

In Classroom

City:

Paris

Course ID:

AFBL1001
Available DatesVenue
2025-10-06Paris
2026-01-05Paris
2026-04-06Paris
2026-07-06Paris
2026-10-05Paris
Available DatesOther Venue
2025-09-01London
2025-10-06Barcelona
2025-10-06Amsterdam
2025-10-06Istanbul
2025-10-06Kuala Lumpur
2025-10-06Singapore
2025-10-06Dubai
2025-11-03London
2025-12-01Dubai
2026-01-05Barcelona
2026-01-05Singapore
2026-01-05Amsterdam
2026-01-05Istanbul
2026-01-05Hong Kong
2026-01-05Kuala Lumpur
2026-01-05London
2026-02-02Dubai
2026-03-02London
2026-04-06Barcelona
2026-04-06Hong Kong
2026-04-06Kuala Lumpur
2026-04-06Amsterdam
2026-04-06Dubai
2026-04-06Istanbul
2026-04-06Singapore
2026-05-04London
2026-06-01Dubai
2026-07-06Istanbul
2026-07-06Amsterdam
2026-07-06Barcelona
2026-07-06Kuala Lumpur
2026-07-06Hong Kong
2026-07-06London
2026-07-06Singapore
2026-08-03Dubai
2026-09-07London
2026-10-05Hong Kong
2026-10-05Barcelona
2026-10-05Singapore
2026-10-05Amsterdam
2026-10-05Istanbul
2026-10-05Kuala Lumpur
2026-10-05Dubai
2026-11-02London
2026-12-07Dubai

Course Details

  • Introduction

  • Objective

  • Who should attend

  • Course Location

 

The Treasury products & Risk Management function is essential to the success and sustainability of all leading corporate organizations. Never has this been truer, given the ever-increasing pace of change in regulation, compliance, technology, and financial risk.

 

The programme places an emphasis on interaction in an aim to expand and enhance delegates’ abilities to discuss treasury risks with their clients, customers, prospects and colleagues. Further, delegates will have ample opportunity to gain practical skills in treasury management and upon completion of this course, will be equipped with short, medium and long term plans for treasury management development within their own organizations.

 

This 5-day course in Treasury Products & Risk Management incorporates case studies, seminars and interactive exercises to teach delegates to effectively utilise treasury products in a trading, hedging and risk management environment.

Course Outline

5 days course

 

  • Treasury Risk Management
  • Identifying Risks and Uncertainties
  • Who Uses Treasury Products?
  • Treasury Solutions – Currency Risk
  • Corporate Treasury Risk Management
  • Commodity Hedging and Trading Simulation

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Treasury Products & Risk Management Training course in Paris | LPC Training