International Cash & Treasury Management

Course Category : Finance

An advanced professional course designed to strengthen international cash and treasury capabilities for superior liquidity, control, and financial resilience across multi-currency and multi-jurisdiction environments.
Duration: 5 Days
Level: Advanced

Introduction

In a financial environment shaped by rapid global change, cash and treasury management is no longer a narrow operational function; it is a strategic pillar for financial stability and business continuity. This course develops advanced capabilities in international liquidity management, cash forecasting, foreign exchange risk control, and cross-border payment efficiency, while addressing regulatory compliance and treasury alignment with enterprise objectives. Participants will also examine modern treasury practices and strengthen their ability to make disciplined, agile financial decisions in complex multi-currency operating environments.

Targeted Audience

  • Corporate Treasurers
  • Finance Directors and Financial Controllers
  • Cash and Liquidity Managers
  • Treasury and Finance Analysts
  • Financial Risk Managers
  • CFOs and Senior Finance Executives
  • International Banking Operations Professionals
  • Financial Consultants and Bankers
  • Treasury Operations Staff in Multinational Corporations
  • Professionals responsible for cross-border payments and collections

Targeted Skills

  • International Cash Flow Forecasting
  • Multi-Currency Liquidity Management
  • Foreign Exchange Risk Management
  • Treasury Operations Design and Improvement
  • Global Banking Relationship Management
  • Regulatory Compliance in International Treasury
  • Short-Term Investment Strategy Evaluation
  • Cash Pooling and Cash Concentration Design
  • Cross-Border Payment Efficiency Analysis
  • Technology-Enabled Treasury Decision Support

Expected Outcomes

  • Explain the core principles of international cash and treasury management and their role in enterprise financial stability.
  • Develop more effective models for forecasting cash flows and liquidity in international operations.
  • Evaluate liquidity management and short-term financing alternatives across multiple currencies and markets.
  • Analyse foreign exchange exposures and apply appropriate hedging instruments in business context.
  • Improve treasury operations, cross-border payments, and global banking relationship performance.
  • Apply compliance, control, and governance requirements within global treasury environments.
  • Use modern systems and treasury technologies to enhance cash visibility and financial decision-making.

Training Topics Index

  • The role of cash and treasury in multinational organisations
  • The cash conversion cycle and working capital implications
  • Core cash management components collections, disbursements, and concentration
  • Key performance indicators for treasury effectiveness
  • Treasury as a driver of financial stability and resilience

  • Short- and medium-term cash forecasting models
  • Managing cash gaps and operational liquidity buffers
  • Short-term funding options and urgent liquidity support
  • Liquidity management across entities and currencies
  • Using financial reports and cash flow statements for planning

  • Transaction, translation, and economic FX exposures
  • Measuring foreign currency exposure and sensitivity
  • Hedging instruments forwards, options, and swaps
  • The effect of market volatility on treasury decisions
  • Aligning hedging policy with enterprise financial objectives

  • Structuring the corporate treasury function
  • Managing banking relationships and international payment networks
  • Treasury management systems for automation and control
  • Improving cross-border payments and collections efficiency
  • Analytics and data-driven treasury decision support

  • Regulatory requirements affecting international treasury
  • Compliance in cross-border payments, KYC, and AML processes
  • Tax and control implications for global cash management
  • Governance and internal control in treasury environments
  • Future directions in digital treasury and global liquidity management

Course Features

  • Updated and Interactive Content
  • Hypothetical Examples and Case Studies
  • Pre- and Post-assessments to Measure Impact
  • Verified Certificate with a QR Verification Code