Address
304 North Cardinal St.
Dorchester Center, MA 02124
Work Hours
Monday to Friday: 7AM - 7PM
Weekend: 10AM - 5PM
Address
304 North Cardinal St.
Dorchester Center, MA 02124
Work Hours
Monday to Friday: 7AM - 7PM
Weekend: 10AM - 5PM
Course Description:
The Certificate/Advanced Certificate in Treasury & Liquidity Management provides comprehensive training in treasury operations, cash management, and liquidity risk management strategies.
Learning Outcomes:
– Understand the role and functions of treasury management within organizations.
– Gain proficiency in cash flow forecasting and liquidity management techniques.
– Develop skills to mitigate liquidity risks and optimize treasury operations.
Learning Objectives:
– Learn about treasury functions including cash management and liquidity forecasting.
– Understand the principles of liquidity risk management and regulatory requirements.
– Develop strategies for optimizing working capital and managing short-term liquidity needs.
Detailed Modules:
– Introduction to Treasury Management
– Cash Management and Forecasting
– Liquidity Risk Management
– Treasury Operations and Systems
– Regulatory Compliance in Treasury Management
– Working Capital Management
Benefits of the Course:
– Enhanced understanding of treasury management principles and practices.
– Improved ability to manage liquidity risks and optimize cash flow.
– Recognition as a certified professional in treasury and liquidity management.
Target Audience:
– Treasury professionals.
– Finance managers.
– Risk managers.
Course Prospects and Marketability:
– High demand for professionals skilled in treasury and liquidity management.
– Opportunities in corporate treasury departments, financial institutions, and consulting firms.