2 participants: 5% Group Discount
3 to 5 participants: 10% Group Discount
6 or more participants: 15% Group Discount
Group discount applies for payment one week prior to the training date
(Available also for customised Training by Duration, Venue & Fee)
The banking crisis of 2008, which created
financial havoc around the world, caused considerable savings and wealth
to evaporate, strained the equity levels of global organizations to
unprecedented minimum levels and resulted in money markets, as well as
other normally liquid and transparent capital markets, to temporarily
freeze up or suspend trading activities. As a result of the substantial
losses caused by this tidal wave of financial ruin that occurred in
equity stock markets, currency, commodity and derivative markets on a
global basis, treasury and cash management functions are now regarded as
vital for the stability, security and profitability of all
organizations.
Learning Outcomes
Participants attending this workshop course will develop the following competencies:
Improved treasury management skills by
adopting the responsibilities and techniques required to ensure optimum
organizational liquidity and profitability
Better prepared to eliminate interest
rate and exchange rate risks as well as commodity pricing risks
utilizing the best available internal and external hedging instruments
Improve cash management skills as a result of gaining a better understanding of liquidity, and portfolio investment returns
Course Outlines
An Overview of Treasury Management
Market volatility establishing the need for effective treasury management
The strategic role and scope of treasury management
The role and functions of Asset and Liabilities Committee (ALCO) and other risk related committees
Portfolio management, trading and settlement, including proprietary trading
Establishing a treasury function along with developing a risk management strategy
Regulation, including the international regulatory framework
Financial Management
Corporate financial planning and engineering strategies and techniques
Liability management strategies, objectives, tools and techniques
Asset management strategies, objectives, tools and techniques
Capital adequacy determinations
Off-balance sheet activities and securitizations
The role of securitizations in the post-banking crisis environment
Financial Derivatives
An overview of financial derivatives
Forward contracts
Options Types, Tools, Strategies and Risks
Swaps a brief overview of how they work
Types of Swaps Currency and interest rate swaps
Risks and risk management ; the benefits and risks of using financial derivatives
Risk Management
Market risk Understanding the various market risks that exist
Identifying and Managing Interest Rate Risk
Exchange rate risk differentiating between transaction risk and translation risk
Credit risks Measurement and management tools and techniques
Operational risks Understanding the scope of operational and other associated risks
Other risks Legal, reputation (corporate brand) and strategic risks
Cash Management Best Practices and Techniques
Preparing and understanding cash flow statements and financial forecasts
Analyzing and evaluating financial statements, including the use of ratio analysis
Liquidity management
Transfer pricing policies, including effective documentation techniques
Netting and pooling concepts treasury and cash management within multinational organizations
A summary overview of the concepts of investment risks and portfolio investment returns
Who Should Attend
Professionals directly responsible for
treasury and cash management functions. Supervisory professionals
responsible for monitoring financial risks, including liquidity, credit,
interest rate or exchange rate risks
Managers and financial decision makers,
whose techniques for decision making and risk analysis will be improved
upon by the tools, techniques, strategies and best practices offered by
this programme
Professionals directly responsible for
the implementation and execution of financial decisions made by other
organizational executives and senior managers, who will gain a new
perspective and appreciation for corporate decision-making processes and
thereby benefit from shared values within their organisation
Those professionals with an interest in finance or aspirations to enhance their careers in the field of finance
Methodology
This highly interactive workshop course
will involve active participation by all participants through a
combination of direct instruction, analysis and evaluation of practical
case studies, examples and exercises as well as discussions of current
issues, policies, procedures and other real life issues arising within
the participants respective organizations.
Our portfolio of more than 200 training courses are currently designed to address the current training needs of our clients incorporating latest trends and internationally accepted best practices, in each distinct subject area.