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Treasury and Corporate Cash Management

This comprehensive course provides detailed knowledge of corporate treasury functions and cash management strategies essential for organizational liquidity and financial stability. Participants will learn cash forecasting techniques, working capital optimization, banking relationships management, and treasury technology applications. The program covers both domestic and international treasury operations, addressing the complete cash conversion cycle and liquidity management frameworks. Through practical exercises and case studies, attendees will develop the expertise to manage corporate treasury functions effectively and optimize cash resources.

Feb 09, 2026 Feb 13, 2026
5 days program
Manama Manama
£4,000.00 + VAT per participant
Flexible payment options available
15 maximum participants
Certificate Provided Refreshments Included Free Wi-Fi
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