Treasury

This training aims to make financial managers aware of how to optimize treasury and working capital management.

Location:
Grimbergen
Duration:
2 days
Price:
€1300 excl. VAT

About this training

This training aims to raise awareness among financial managers about optimizing treasury and working capital management. It also provides participants with an initial insight into optimization opportunities and the potential for a consultancy or guidance process.

Language: Dutch
Dates: 17/03/2025 & 19/03/2025

Who it’s for

Participants vary depending on the specific focus of the training and the degree of involvement of different roles in treasury management within the organization.

Program

Day 1:

  • Module 1: Working capital management
  • Module 2: Credit management
  • Module 3: Cash flow forecasting
  • Module 4: Payments and flow products
  • Module 5: Cash management

Day 2:

  • Module 5: Cash management (continued)
  • Module 6: Daily cash management routines
  • Module 7: Financing and banking relationships
  • Module 8: Introduction to money markets & risk management
  • Module 9: Systems, security, and control

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