Corporate Treasury and Cash Management Course
At a glance
- Duration
- 5 days
- Format
- Classroom
- Cities
- Cairo, Athens, Paris, Jakarta, Sharm El-Sheikh, Johannesburg and more
- Next session
- 12 – 16 October 2026, Cairo
- Average fee
- 5,800 €
Overview
Corporate Treasury Cash and Liquidity Management Training Course is a five-day professional course for corporate treasury, cash, finance, accounting, and working-capital teams who leave with a Corporate Treasury Cash and Liquidity Operating File. Participants connect corporate treasury governance, cash positioning, liquidity forecasting, working capital, banking structures, funding, financial risk, controls, and treasury reporting. The course converts fragmented balances and forecasts into controlled liquidity decisions. Agile Leaders Training Center presents corporate treasury through practical operating artifacts.
Who Should Attend
- Treasury functions responsible for liquidity, funding, and financial risk
- Cash-management functions responsible for balances, payments, and collections
- Finance functions responsible for forecasts, facilities, and banking relationships
- Accounting functions responsible for cash data and reconciliations
- Working-capital teams responsible for receivables, payables, and inventory liquidity
- Control functions responsible for treasury policy and authorization
The course assumes participants support corporate cash or liquidity decisions and leaves out bank treasury dealing, investment advice, and accounting-only cash-flow preparation.
Departments and Industries
The course supports departments and industries that manage cash across entities, accounts, and operating cycles.
- Treasury, finance, accounting, and shared-service departments
- Manufacturing, distribution, and retail organizations
- Energy, construction, and infrastructure businesses
- Technology, telecommunications, and professional-services firms
- Healthcare, hospitality, and transportation enterprises
Learning Objectives
By the end of this course, participants will be able to:
- Build a controlled daily cash position
- Analyze liquidity forecasts and working-capital drivers
- Compare bank-account and pooling structures
- Evaluate short-term funding and surplus cash choices
- Apply payment, counterparty, and financial-risk controls
- Use treasury reporting to prioritize liquidity actions
Course Agenda
Day 1: Treasury Mandate and Cash Visibility
- Corporate Treasury Mandate and Responsibility Matrix
- Daily Cash Position Worksheet
- Bank Account Inventory and Purpose Map
- Cash Visibility Data-Control Checklist
- Treasury Policy and Delegation Register
Day 2: Forecasting and Working Capital
- Rolling Cash Forecast Model
- Forecast Variance Bridge
- Cash Conversion Cycle Analysis
- Receivables and Collections Action Grid
- Payables and Inventory Liquidity Map
Day 3: Liquidity Structures and Banking
- Liquidity Buffer Sizing Method
- Cash Pooling Structure Comparison
- Bank Relationship Service Scorecard
- Short-Term Funding Facility Matrix
- Surplus Cash Placement Decision Rules
Day 4: Payments, Risk, and Reporting
- Payment Authorization Control Matrix
- Fraud and Error Prevention Checklist
- Interest-Rate and Foreign-Exchange Exposure Map
- Treasury Counterparty Limit Register
- Treasury Performance Reporting Dashboard
Day 5: Corporate Treasury Practice
- Suggested Exercise: Reconcile a Daily Cash Position
- Suggested Exercise: Build and Stress a Cash Forecast
- Suggested Exercise: Select a Liquidity and Funding Response
- Suggested Exercise: Review a Payment-Control Exception
- Capstone Exercise: Corporate Treasury Cash and Liquidity Operating File
Practical Exercises
The course uses suggested activities to connect corporate cash data with controlled treasury decisions.
- Suggested activity: reconcile balances, bank movements, and available liquidity in a daily cash position.
- Suggested activity: build a rolling forecast and explain variances from collections, payments, and inventory.
- Suggested activity: compare pooling, facilities, and surplus cash choices against liquidity needs and controls.
- Suggested activity: assemble reporting, risks, limits, owners, and actions in the operating file.
FAQs
What is corporate treasury cash and liquidity management?
Corporate treasury cash and liquidity management coordinates cash visibility, forecasts, working capital, banking structures, funding, surplus cash, financial risk, controls, and reporting for a non-bank organization.
Who suits corporate treasury cash management training, and what does it assume?
Corporate treasury, cash, finance, accounting, and working-capital teams suit the training. It assumes participants contribute to cash or liquidity decisions and excludes bank trading and investment advice.
How does corporate treasury differ from bank treasury operations?
Corporate treasury manages a company's operating liquidity, accounts, facilities, exposures, and internal controls. Bank treasury operations center on a financial institution's balance sheet, regulatory liquidity, dealing activities, and market positions.
How can liquidity forecasting improve corporate cash decisions?
Liquidity forecasting improves decisions by connecting expected receipts, payments, working-capital changes, facilities, and uncertainty to a dated view of funding gaps and surplus cash.
What controls support corporate treasury payments and banking relationships?
Corporate treasury controls include delegated authority, payment approval, account ownership, counterparty limits, reconciliations, access reviews, exception escalation, and service-performance monitoring.
Conclusion
Participants take back a Corporate Treasury Cash and Liquidity Operating File linking positions, forecasts, working-capital actions, banking structures, funding, risks, controls, and reporting. It changes disconnected cash information into traceable liquidity decisions. The file gives treasury and finance teams shared assumptions, owners, limits, escalation routes, and review evidence.
credits: 5 credit per day
Course Mode: full-time
Provider: Agile Leaders Training Center
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Events for this Course
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Cairo 12 – 16 October 2026
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Athens 12 – 16 October 2026
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Paris 19 – 23 October 2026
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Jakarta 19 – 23 October 2026
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Sharm El-Sheikh 26 – 30 October 2026
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Johannesburg 15 – 19 November 2026
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Zoom 16 – 20 November 2026
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Manama 22 – 26 November 2026
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Rome 30 November – 4 December 2026
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Milan 30 November – 4 December 2026
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Bali 6 – 10 December 2026
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London 7 – 11 December 2026
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Cape town 13 – 17 December 2026
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Dubai 14 – 18 December 2026
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Tbilisi 21 – 25 December 2026
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Abu Dhabi 21 – 25 December 2026
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Dubai 4 – 8 January 2027
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Prague 4 – 8 January 2027
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Amsterdam 11 – 15 January 2027
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Montreux 25 – 29 January 2027
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Geneva 31 January – 4 February 2027
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Muscat 7 – 11 February 2027
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Baku 15 – 19 February 2027
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Porto 15 – 19 February 2027
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Vienna 22 – 26 February 2027
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Seoul 22 – 26 February 2027
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Phuket 28 February – 4 March 2027
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Manama 7 – 11 March 2027
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London 8 – 12 March 2027
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Langkawi 14 – 18 March 2027
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Dubai 15 – 19 March 2027
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Nairobi 21 – 25 March 2027
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Rome 22 – 26 March 2027
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Tashkent 4 – 8 April 2027
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Amsterdam 5 – 9 April 2027
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Doha 11 – 15 April 2027
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Kuala Lumpur 26 – 30 April 2027
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Abu Dhabi 26 – 30 April 2027
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Casablanca 3 – 7 May 2027
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New York 3 – 7 May 2027
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Trabzon 9 – 13 May 2027
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Cairo 10 – 14 May 2027
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Madrid 17 – 21 May 2027
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Milan 17 – 21 May 2027
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Accra 23 – 27 May 2027
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Barcelona 24 – 28 May 2027
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Vienna 31 May – 4 June 2027
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Nice 31 May – 4 June 2027
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San Diego 7 – 11 June 2027
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Amman 13 – 17 June 2027
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London 21 – 25 June 2027
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Abu Dhabi 21 – 25 June 2027
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Berlin 28 June – 2 July 2027
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Kuwait 4 – 8 July 2027
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Kuala Lumpur 12 – 16 July 2027
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Frankfurt 12 – 16 July 2027
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Singapore 19 – 23 July 2027
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Bangkok 25 – 29 July 2027
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Amsterdam 26 – 30 July 2027
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Toronto 1 – 5 August 2027
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Istanbul 9 – 13 August 2027
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Tokyo 16 – 20 August 2027
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Paris 23 – 27 August 2027
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Lisbon 23 – 27 August 2027
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Barcelona 30 August – 3 September 2027
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Abu Dhabi 30 August – 3 September 2027
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Marbella 5 – 9 September 2027
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Dubai 6 – 10 September 2027
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London 13 – 17 September 2027
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Zanzibar 26 – 30 September 2027
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Madrid 27 September – 1 October 2027
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Chicago 3 – 7 October 2027
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Istanbul 4 – 8 October 2027
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Munich 11 – 15 October 2027
| Image | Location | Dates | Duration | Mode | Price | Actions |
|---|---|---|---|---|---|---|
|
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Istanbul |
Week 32, 2027 9 – 13 August 2027 |
5 Days | Onsite | €4,500 | |
|
|
Tokyo |
Week 33, 2027 16 – 20 August 2027 |
5 Days | Onsite | €10,000 | |
|
|
Paris |
Week 34, 2027 23 – 27 August 2027 |
5 Days | Onsite | €5,700 | |
|
|
Lisbon |
Week 34, 2027 23 – 27 August 2027 |
5 Days | Onsite | €5,700 | |
|
|
Barcelona |
Week 35, 2027 30 August – 3 September 2027 |
5 Days | Onsite | €5,700 | |
|
|
Abu Dhabi |
Week 35, 2027 30 August – 3 September 2027 |
5 Days | Onsite | €4,700 | |
|
|
Marbella |
Week 35, 2027 5 – 9 September 2027 |
5 Days | Onsite | €5,700 | |
|
|
Dubai |
Week 36, 2027 6 – 10 September 2027 |
5 Days | Onsite | €4,500 | |
|
|
London |
Week 37, 2027 13 – 17 September 2027 |
5 Days | Onsite | €5,700 | |
|
|
Zanzibar |
Week 38, 2027 26 – 30 September 2027 |
5 Days | Onsite | €5,500 | |
|
|
Madrid |
Week 39, 2027 27 September – 1 October 2027 |
5 Days | Onsite | €5,700 | |
|
|
Chicago |
Week 39, 2027 3 – 7 October 2027 |
5 Days | Onsite | €12,000 | |
|
|
Istanbul |
Week 40, 2027 4 – 8 October 2027 |
5 Days | Onsite | €4,500 | |
|
|
Munich |
Week 41, 2027 11 – 15 October 2027 |
5 Days | Onsite | €5,700 |
Frequently asked questions
What does this course cover?
OverviewCorporate Treasury Cash and Liquidity Management Training Course is a five-day professional course for corporate treasury, cash, finance, accounting, and working-capital teams who leave with a Corporate Treasury Cash and Liquidity Operating File. Participants connect corporate treasury governance, cash positioning, liquidity forecasting, working c…
Are training dates available?
Yes. Available dates and destinations are listed in the course dates section on this page.
How can I register?
Choose an available date on this page and complete the registration form, or send a programme enquiry.
Can I download the course brochure?
Yes. Use the brochure download link provided on this page.
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