Treasury & Cash Flow Management for Corporations & Banks

التذاكر

Treasury & Cash Flow Management for Corporations & Banks

1,950.000 KD
Treasury & Cash Flow Management for Corporations & Banks
16 - 20 نوفمبر 2026
London, المملكة المتحدة
المملكة المتحدة

1) Course Introduction

This course delivers the knowledge required to manage liquidity, optimize cash flow, and control treasury operations in corporations and financial institutions.

At the treasury operations core, Seattle International Institute for Training integrates financial instruments, cash flow analytics, and risk mitigation models.

2) Key Learning Objectives

Participants will learn to:

  • Manage liquidity and short-term financing
  • Analyze cash flow patterns and forecasting
  • Optimize working capital
  • Use treasury instruments and banking facilities
  • Strengthen financial risk control

3) Target Audience

  • Treasury teams
  • Bank operations staff
  • Corporate finance units
  • Financial controllers

4) Course Importance & Business Impact

Effective treasury management ensures financial stability and reduces funding risks.

5) Practical Modules / Key Topics

  • Cash flow forecasting
  • Liquidity management
  • Banking instruments
  • Working capital optimization
  • Treasury risk tools

التذاكر

الوقت والتاريخ
الاثنين، 16 نوفمبر 2026
البداية - 9:00 ص (Europe/London)
الجمعة، 20 نوفمبر 2026
النهاية - 3:00 م (Europe/London)

إضافة إلى التقويم

الموقع

London

London
المملكة المتحدة
--London--

احصل على الاتجاه

منظِّم

Seattle International For Training

info@seattle-int.com
مشاركة

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