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
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.
Spain - Madrid
19 - October - 2026
English
1 week