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CORPORATE FINANCE AND TREASURY MANAGEMENT

This comprehensive program bridges the disciplines of Treasury Management and Corporate Finance, equipping participants with the knowledge and tools to design strategies, plan funds, and manage capital effectively. The course emphasizes financial planning, currency and risk management, and the essentials of corporate financing.

Participants will gain a deep understanding of treasury functions, including asset-liability management, cash flow optimization, and risk mitigation strategies, while aligning with accounting standards and financial regulations. This training empowers managers to make informed decisions that maximize shareholder value and drive organizational success.

Why Choose This Course?

Blossom Corporate’s Corporate Finance and Treasury Management course offers:

  • Practical insights into financial and treasury management strategies.
  • Advanced knowledge of asset-liability and cash management techniques.
  • Expertise in risk management tools for currency and interest rate fluctuations.

This training empowers managers to make informed decisions that maximize shareholder value and drive organizational success.

Who Should Attend?

This course is ideal for:

  • Treasury Managers and Officers
  • Financial Managers and Analysts
  • Corporate Executives responsible for financial strategy
  • Professionals involved in risk management and corporate financing

What You Will Gain

By the end of this training, participants will:

  • Gain a solid understanding of accounting standards relevant to treasury management.
  • Master asset-liability management and cash flow optimization techniques.
  • Apply advanced methods to manage currency and interest rate risks effectively.
  • Understand the legal and regulatory framework surrounding financial management.