Finance and Accounting Training Courses


International Cash & Treasury Management

Introduction:

International Cash and Treasury ensures a company's financial stability and operational success in a global marketplace. As organizations expand across borders, they face increased complexity in managing cash flows, liquidity, foreign exchange risks, and regulatory challenges. This International Cash and Treasury Management course covers effective management, optimizing cash resources, maintaining efficient liquidity levels, safeguarding against financial risks, and ensuring regulatory compliance across multiple jurisdictions.

This International Cash and Treasury Management training provides participants with the knowledge and skills to manage international cash strategically, maximize financial performance, align treasury operations with broader business objectives, and understand key concepts related to managing global cash flows and liquidity. Participants will explore the functions of international cash management, including optimizing cross-border transactions, managing foreign exchange risks, and enhancing cash visibility.

The International Cash and Treasury Management course covers the definition of cash management, focusing on strategies and responsibilities required to handle global financial operations. It delves into treasury management, examining treasury management tools and solutions to streamline financial processes and mitigate risks. Attendees will gain insights into cash management duties, strategies, and the advantages of treasury management. Earning a certificate in International Cash and Treasury Management will enable professionals to enhance their skills and drive efficiency in corporate treasury functions.

Targeted Groups:

  • Corporate Treasurers.
  • Financial Controllers.
  • Cash Managers.
  • Treasury Analysts.
  • Finance Directors.
  • Risk Management Professionals.
  • CFOs and Senior Finance Executives.
  • Bankers and Financial Consultants.
  • Treasury Operations Staff.
  • Professionals in Multinational Corporations.

Course Objectives:

At the end of this International Cash and Treasury Management course, the participants will:

  • Understand the fundamentals of international cash and treasury management.
  • Develop effective cash flow forecasting techniques for global operations.
  • Learn strategies for optimizing liquidity across multiple currencies.
  • Gain insights into foreign exchange risk management practices.
  • Explore best practices for managing global banking relationships.
  • Implement compliance measures for international treasury operations.
  • Analyze the impact of regulations on treasury management functions.
  • Master cash pooling and centralization methods for efficiency.
  • Evaluate investment strategies for surplus cash management.
  • Enhance skills in managing cross-border payment processes.

Targeted Competencies:

By the end of this International Cash and Treasury Management course, the participant's competencies will:

  • Cash Flow Forecasting.
  • Liquidity Management.
  • Foreign Exchange Risk Management.
  • Treasury Operations Optimization.
  • Global Banking Relations.
  • Regulatory Compliance.
  • Cash Pooling and Centralization.
  • Financial Risk Mitigation.
  • Investment Management.
  • Cross-Border Payments Management.

Course Content:

Unit 1: Fundamentals of International Cash Management:

  • Define cash management and its significance in international business.
  • Explore the components of cash management: collection, disbursement, and concentration.
  • Discuss the role of cash management in liquidity and working capital optimization.
  • Understand the cash conversion cycle and its impact on cash flow.
  • Identify key performance indicators for measuring cash management efficiency.

Unit 2: Liquidity Management Strategies:

  • Examine different liquidity management techniques and their applications.
  • Learn about short-term financing options and their role in liquidity.
  • Discuss cash forecasting methods for effective liquidity planning.
  • Analyze the importance of maintaining adequate liquidity reserves.
  • Explore the use of cash flow statements for liquidity assessment.

Unit 3: Foreign Exchange Risk Management:

  • Understand the types of foreign exchange risks: transaction, translation, and economic.
  • Learn how to measure and quantify foreign exchange exposure.
  • Explore hedging techniques, including forwards, options, and swaps.
  • Discuss the impact of market volatility on foreign exchange rates.
  • Examine case studies on effective foreign exchange risk management.

Unit 4: Treasury Operations and Technology:

  • Review the structure and functions of a corporate treasury department.
  • Understand the role of treasury management systems in automating processes.
  • Explore the integration of financial technology in treasury operations.
  • Discuss best practices for treasury operations efficiency and effectiveness.
  • Learn about the importance of data analytics in treasury decision-making.

Unit 5: Regulatory Compliance and Global Treasury Operations:

  • Examine the regulatory landscape affecting international treasury management.
  • Understand compliance requirements for cross-border transactions.
  • Discuss anti-money laundering (AML) and know your customer (KYC) regulations.
  • Analyze the implications of tax regulations on treasury operations.
  • Explore the future trends in regulatory compliance in global treasury management.

Paris (France)
15 - 19 Jun 2026
5900 Euro
Cairo (Egypt)
21 - 25 Jun 2026
3500 Euro
Online
28 Jun - 02 Jul 2026
1900 Euro
Casablanca (Morocco)
06 - 10 Jul 2026
4500 Euro
Dubai (UAE)
26 - 30 Jul 2026
4600 Euro
Barcelona (Spain)
10 - 14 Aug 2026
5600 Euro
Sharm El-Sheikh (Egypt)
16 - 20 Aug 2026
4500 Euro
Kuala Lumpur (Malaysia)
16 - 20 Aug 2026
4600 Euro
Dubai (UAE)
23 - 27 Aug 2026
4600 Euro
Istanbul (Turkey)
23 - 27 Aug 2026
4900 Euro
Milan (Italy)
31 Aug - 04 Sep 2026
6200 Euro
Rome (Italy)
14 - 18 Sep 2026
6200 Euro
Vienna (Austria)
14 - 18 Sep 2026
5900 Euro
Dubai (UAE)
20 - 24 Sep 2026
4600 Euro
London (UK)
21 - 25 Sep 2026
5800 Euro
Geneva (Switzerland)
28 Sep - 02 Oct 2026
6500 Euro
Madrid (Spain)
28 Sep - 02 Oct 2026
5600 Euro
London (UK)
05 - 09 Oct 2026
5800 Euro
Online
11 - 15 Oct 2026
1900 Euro
Dubai (UAE)
18 - 22 Oct 2026
4600 Euro
Amsterdam (Netherlands)
19 - 23 Oct 2026
5600 Euro
Cairo (Egypt)
25 - 29 Oct 2026
3500 Euro
Dubai (UAE)
01 - 05 Nov 2026
4600 Euro
Vienna (Austria)
09 - 13 Nov 2026
5900 Euro
Dubai (UAE)
15 - 19 Nov 2026
4600 Euro
Istanbul (Turkey)
15 - 19 Nov 2026
4900 Euro
Amman (Jordan)
22 - 26 Nov 2026
3300 Euro
Kuala Lumpur (Malaysia)
22 - 26 Nov 2026
4600 Euro
London (UK)
23 - 27 Nov 2026
5800 Euro
Online
29 Nov - 03 Dec 2026
1900 Euro
Paris (France)
07 - 11 Dec 2026
5900 Euro
Madrid (Spain)
07 - 11 Dec 2026
5600 Euro
Boston (USA)
14 - 18 Dec 2026
7500 Euro
Dubai (UAE)
20 - 24 Dec 2026
4600 Euro
Online
20 - 24 Dec 2026
1900 Euro
Dubai (UAE)
28 Dec 2026 - 01 Jan 2027
4600 Euro
Barcelona (Spain)
28 Dec 2026 - 01 Jan 2027
5600 Euro
Paris (France)
04 - 08 Jan 2027
5900 Euro
Dubai (UAE)
17 - 21 Jan 2027
4600 Euro
London (UK)
18 - 22 Jan 2027
5800 Euro
Sharm El-Sheikh (Egypt)
07 - 11 Feb 2027
4500 Euro
Cairo (Egypt)
21 - 25 Feb 2027
3500 Euro
Manama (Bahrain)
21 - 25 Feb 2027
4900 Euro
Kuala Lumpur (Malaysia)
07 - 11 Mar 2027
4600 Euro
Istanbul (Turkey)
14 - 18 Mar 2027
4900 Euro
Rome (Italy)
15 - 19 Mar 2027
6200 Euro
Barcelona (Spain)
05 - 09 Apr 2027
5600 Euro
Dubai (UAE)
11 - 15 Apr 2027
4600 Euro
Amman (Jordan)
18 - 22 Apr 2027
3300 Euro
Istanbul (Turkey)
18 - 22 Apr 2027
4900 Euro
Amsterdam (Netherlands)
19 - 23 Apr 2027
5600 Euro
Dubai (UAE)
25 - 29 Apr 2027
4600 Euro
Lisbon (Portugal)
10 - 14 May 2027
5600 Euro
Dubai (UAE)
16 - 20 May 2027
4600 Euro
Online
16 - 20 May 2027
1900 Euro
Madrid (Spain)
17 - 21 May 2027
5600 Euro
Istanbul (Turkey)
23 - 27 May 2027
4900 Euro
London (UK)
24 - 28 May 2027
5800 Euro
Munich (Germany)
31 May - 04 Jun 2027
5600 Euro
Manama (Bahrain)
06 - 10 Jun 2027
4900 Euro

Finance and Accounting Training Courses
International Cash & Treasury Management (FA)

 

Mercury dynamic schedule is constantly reviewed and updated to ensure that every category is being addressed at least once a month, if not once every week. Please check the training courses listed below and if you do not find the subject you are interested in, email us or give us a call and we will do our best to assist.