Strategic Financial Decision-Making for Treasury Managers

Course Category : Risk Management

Empowering treasury managers to make strategic financial decisions that strengthen liquidity, support financial sustainability, and drive organisational objectives in dynamic business environments.
Duration: 5 Days
Level: Advanced

Introduction

In an increasingly volatile economic environment, strategic financial decisions have become critical to maintaining liquidity, safeguarding financial stability, and supporting sustainable growth. Treasury managers are expected to balance risk, return, funding requirements, and operational priorities while responding effectively to changing market conditions.
This course develops the analytical and strategic capabilities required for effective treasury leadership. Participants will explore financial decision-making frameworks, liquidity strategies, funding alternatives, risk considerations, and performance evaluation approaches that support informed treasury decisions and long-term organisational success..

Targeted Audience

  • Treasury Managers
  • Finance Managers
  • Liquidity and Working Capital Managers
  • Financial Risk Managers
  • Investment and Funding Managers
  • Heads of Finance Departments
  • Treasury and Financial Analysts
  • Financial Executives

Targeted Skills

  • Strategic Financial Decision-Making
  • Liquidity and Cash Flow Analysis
  • Funding Alternatives Evaluation
  • Financial Risk Management
  • Treasury and Financial Planning
  • Financial Scenario Analysis
  • Treasury Performance Measurement
  • Investment and Financing Decision Support

Expected Outcomes

  • Understand the treasury function's role in strategic financial decision-making.
  • Analyse liquidity positions and future funding requirements.
  • Evaluate financing alternatives and select suitable options.
  • Apply risk management principles to financial decisions.
  • Use financial scenario analysis to support decision-making.
  • Develop performance indicators for treasury effectiveness.
  • Balance liquidity and profitability objectives.
  • Support long-term financial sustainability and organisational goals.

Training Topics Index

  • Treasury's role in achieving organisational objectives
  • Strategic financial decision-making principles
  • Balancing liquidity and profitability
  • Factors influencing financial decisions
  • Governance and accountability in treasury decisions

  • Cash flow analysis
  • Financial liquidity indicators
  • Cash forecasting for decision support
  • Working capital management
  • Future cash requirement planning

  • Short-term and long-term funding sources
  • Cost of capital and financing
  • Financing alternatives assessment
  • Investment decision evaluation
  • Risk-return optimisation

  • Liquidity and funding risks
  • Interest rate and currency risks
  • Sensitivity and scenario analysis
  • Financial stress testing
  • Risk mitigation strategies

  • Treasury key performance indicators
  • Measuring treasury value contribution
  • Executive financial reporting
  • Data-driven decision support
  • Continuous improvement in treasury 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