This course focuses on managing financial risks and treasury functions in corporate environments. It addresses cash management, liquidity planning, credit exposure, hedging strategies, and compliance with financial regulations.
Background in finance, banking, or treasury operations.
Analytical and numerical skills.
Familiarity with risk assessment tools.
Ideal for treasury officers, CFOs, and finance analysts.
You can contact our support team via Contact Page or call directly to inquire more about this course.
This course spans 3 Months and is available in Hybrid mode.