Note / Price varies according to the selected city
Price per participant, per week $2000
Register 3 participants on the same course and pay for 2 only
Cash is the one resource that never stops moving — and when an organisation loses sight of where it sits, how fast it moves, and what could disrupt it, even a profitable business can run into trouble. That is the problem this Advanced Treasury and Liquidity Management course, delivered by the Arab British Fellowship Training Academy, is built to solve.
The course gives finance and treasury professionals a structured way to manage liquidity, plan for cash needs, and build treasury functions that hold up under pressure from fast-changing financial conditions. Beyond day-to-day cash management, participants work through strategic financial decision-making, risk-management techniques, and policy-building methods that keep an institution financially sustainable and operationally efficient over the long run.
Who Should Attend?
What You Will Gain
Module 1: Reading and Forecasting Cash Flow
Module 2: The Treasury Function and Its Strategic Role
Module 3: Liquidity Levels and Sources
Module 4: Short-Term Instruments and Investment Decisions
Module 5: Managing Market Risk — FX and Interest Rates
Module 6: Treasury Operations, Accounting and Internal Controls
Module 7: Financing, Banking Relationships and Reporting
Module 8: Technology, Legal Compliance and the Regulatory Framework
Advanced Treasury and Liquidity Management
2026-11-16
2027-02-15
2027-05-17
2027-08-16