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CORPORATE TREASURY MANAGEMENTThe most complete Treasury Management training onlineIn today's environment, it's critical to keep you financial assets in order. This treasury management course is made up of 30 modules to help manage your corporate accounts and minimize risks. Contact us for a trial of our Treasury Management courses.
Interest Rate Risk Management (4 modules)Financial markets have seen an enormous growth in fixed-income obligations, which in turn has increased volatility of interest rates. The management of interest rate risk using various derivative instruments (futures, swaps and options) forms the focus of this course. The mechanics and application of these instruments for hedging, arbitrage and speculation purposes are discussed. Caselets and simulation exercises facilitate better understanding of interest rate risk management. You will learn:
Foreign Exchange Management (7 modules)This course provides an in-depth understanding of the various risks (transaction, translation and economic exposure risks) a corporate is exposed to, when dealing in foreign exchange. The sources of these exposures and techniques to mitigate them, using different financial instruments are discussed. Various caselets in the form of simulations are provided for better understanding. A 10-point checklist for sharing currency risks in long-term contracts is one of the highlights of this course. You will learn:
Funding and Investments (5 modules)The short-term and long-term financing needs and methods that cater to funding and investments of a corporate through money and capital markets form the focus of this course. An overall view of managing corporate risk exposure at a portfolio level is also provided. You will learn:
Implementation (4 modules)Implementation and execution of a treasury strategy are fundamental to a well-managed treasury. In this module, we cover treasury implementation, with detailed looks at the types of treasury software systems available and a framework for formulating a policy statement. We will also analyze control issues in treasury management (FAS133).
Treasury Analytics (5 modules)The concept of yield curve analysis, different analytical techniques like duration, convexity and basis point value, which form the basis for understanding the overall risk measurement framework are the elements of this course. The practitioner is introduced to the Value-at-Risk (VaR) methodology to measure risks. You will learn:
Treasury Management Case Studies (5 modules)Learn about five high-profile treasury and risk management failures that results in big problems for the company. We'll review the treasury debacles at Allied Irish Bank, P&G, Gibson Greetings, Lufthansa and Sumitomo to analyze the practical issues in treasury management. As a take-away, you can review and compare your company's methods and systems, and help improve the treasury function.
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