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ACCOUNTING & FINANCE
Treasury & Money Markets Training Course
Introduction
Treasury & Money Markets Training Course is a comprehensive, high-impact program designed to equip finance professionals with advanced knowledge of liquidity management, cash optimization, risk mitigation, and global financial market operations. In todayβs rapidly evolving financial landscape, institutions require strong treasury functions that can effectively manage interest rate exposure, foreign exchange volatility, and short-term funding strategies. This course provides a deep dive into modern treasury operations, money market instruments, and strategic financial decision-making aligned with global best practices.
Participants will gain practical insights into interbank markets, central bank policies, repo markets, and digital treasury systems that are transforming corporate and banking finance. With a strong emphasis on real-world applications, risk control frameworks, and regulatory compliance, this training empowers professionals to enhance financial stability, improve profitability, and support strategic organizational growth in competitive global markets.
Programme Curriculum
Treasury & Money Markets Training Course
Introduction
Treasury & Money Markets Training Course is a comprehensive, high-impact program designed to equip finance professionals with advanced knowledge of liquidity management, cash optimization, risk mitigation, and global financial market operations. In todayβs rapidly evolving financial landscape, institutions require strong treasury functions that can effectively manage interest rate exposure, foreign exchange volatility, and short-term funding strategies. This course provides a deep dive into modern treasury operations, money market instruments, and strategic financial decision-making aligned with global best practices.
Participants will gain practical insights into interbank markets, central bank policies, repo markets, and digital treasury systems that are transforming corporate and banking finance. With a strong emphasis on real-world applications, risk control frameworks, and regulatory compliance, this training empowers professionals to enhance financial stability, improve profitability, and support strategic organizational growth in competitive global markets.
Course Objectives
Understand global treasury management principles and money markets operations
Analyze liquidity management strategies in corporate and banking sectors
Upon successful completion of this training, participants will be issued with a globally- recognized certificate.
Tailor-Made Course
We also offer tailor-made courses based on your needs.
Key Notes
a. The participant must be conversant with English.
b. Upon completion of training the participant will be issued with an Authorized Training Certificate
c. Course duration is flexible and the contents can be modified to fit any number of days.
d. The course fee includes facilitation training materials, 2 coffee breaks, buffet lunch and A Certificate upon successful completion of Training.
e. One-year post-training support Consultation and Coaching provided after the course. f. Payment should be done at least a week before commence of the training, to FINESKILL TRAINING CENTER account, as indicated in the invoice so as to enable us prepare better for you.