Tanggal | Tempat | Kota |
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Instructor by : Hanifah
BENEFITS
This course offers a thorough grounding in treasury management tools and techniques. The course enables participants to maximize cash flows for their organization through effective fund allocation, while minimizing risk using appropriate measurement and management strategies.
This course provides the perfect forum to learn about the corporate treasury function. It is ideal for anyone who wants to understand more about treasury operations – including finance directors, accountants, tax managers and line managers. Banks will find the insight into their corporate clients equally invaluable.
The course includes numerous presentations from senior treasurers to bring a ‘real-life’ perspective and culminates in a case study which gives participants the opportunity to apply some of the skills they have learnt to a corporate example.
OUTLINE
1. Treasury in The Corporate Context
2. Cash Management Fundamentals
3. International Payments
4. Capital Markets and Funding
5. Corporate Financial Management
6. Financial Risk and Instrument Types
7. Risk Management and Treasury Policy
8. Liquidity Management
9. Managing International Liquidity
10. Liquidity Management Case Study
PARTICIPANT
TRAINING METHOD
Presentation
Discussion
Case Study
Evaluation
FACILITIES
Training Kit
Handout
Certificate
Lunch + 2 X Coffee Break
Souvenir
Pick Up Participant
Data Materi Training | |
Topik Training | : Treasury Management |
Link | |
*Jumlah Peserta | Estimasi Jumlah Peserta yang di ajukan |
*Nama Peserta Yang Didaftarkan | |
Personal Data | |
*Nama | |
*Jabatan | Jabatan/Divisi/Departement |
*Nama Perusahaan | |
*Alamat Perusahaan | |
*Email Perusahaan | |
*Email Alternatif | eg: gmail, yahoo, hotmail |
*Telepon Kantor | |
Ekstensi | |
*Handphone | |
* Harus di isi | |