International Treasury & Cash Management | Advanced @ Eurofinance

17/05/2018

11-13 June 2018

This course is designed for finance, treasury and banking professionals who have at least five years practical experience in various roles in treasury management and who need to gain a deeper practical knowledge of advanced treasury management techniques.

This is the most advanced international course EuroFinance offers.

Date: 11-13 June 2018
Costs: € 4,595 ex VAT
Location: Geneva

Course structure

  • Day 1 – International Treasury and Liquidity
  • Day 2 – Efficient Payments and Accounts
  • Day 3 – Working Capital, Systems and Bank Relations

Learning objectives

  • Explore the techniques being deployed by the leading global treasury organisations
  • Understand how treasury can deliver improved bottom-line performance for your business through tax-efficient account structures, effective hedging strategies and optimising working capital
  • Discuss alternative account structure for optimising liquidity and payments
  • Gain a comprehensive insight into the current and future challenges facing treasury managers and CFOs
  • Develop practical skills and knowledge that can be immediately applied upon your return to the office.
View job description | apply online

No comments

Leave a Reply

Your email address will not be published. Required fields are marked *