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المالية والاقتصاد والأسواق

Mastery of Treasury and Cash Management in Public Sector

Elevate your public sector financial management skills with our comprehensive 5-day course on treasury and cash management best practices

التاريخ
الموقع
تونس العاصمة (تونس)
المدة
5 أيام
الاستثمار
GBP 4200

نظرة عامة على الدورة

Course Description

This intensive 5-day course provides a comprehensive overview of treasury and cash management practices tailored for the public sector. Participants will gain in-depth knowledge of cash flow forecasting, risk management, and optimization strategies. The course combines theoretical concepts with practical applications to enhance financial stewardship in government organizations.

Learning Objectives

  • Develop advanced cash flow forecasting techniques for public sector entities
  • Implement effective risk management strategies in treasury operations
  • Optimize cash management processes to improve liquidity and returns
  • Understand regulatory compliance and best practices in public sector financial management
  • Apply modern treasury technologies to streamline operations and enhance decision-making

Course Modules

Day 1: Foundations of Public Sector Treasury Management

  • Overview of treasury functions in government organizations
  • Regulatory framework and compliance requirements
  • Treasury management policies and procedures
  • Stakeholder management and reporting

Day 2: Cash Flow Forecasting and Liquidity Management

  • Advanced cash flow forecasting techniques
  • Liquidity planning and management
  • Working capital optimization strategies
  • Cash positioning and concentration

Day 3: Risk Management in Public Sector Treasury

  • Identifying and assessing treasury risks
  • Interest rate and foreign exchange risk management
  • Counterparty risk and credit risk management
  • Operational risk mitigation strategies

Day 4: Investment Management and Debt Issuance

  • Public sector investment policies and strategies
  • Portfolio management techniques
  • Debt issuance processes and best practices
  • Managing relationships with financial institutions

Day 5: Technology and Innovation in Treasury Management

  • Treasury Management Systems (TMS) implementation
  • Automation and process optimization
  • Data analytics and performance measurement
  • Emerging technologies in public sector finance

Practical Wins for Participants

  • Develop a comprehensive treasury policy tailored to your organization
  • Create an advanced cash flow forecasting model using provided templates
  • Design a risk management framework for your treasury operations
  • Implement a performance dashboard for treasury activities
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  • معلومات الدورة - المدة والصيغة والمتطلبات
  • التسجيل والدفع - حجز سهل وخيارات دفع مرنة
  • الشهادات - شهادات معترف بها دولياً
  • خدمات الدعم - المواد التدريبية والمتابعة بعد الدورة

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رمز الدورة
322819_215156
تاريخ الدورة
27 Jun - 01 Jul 2027
رسوم الدورة
4200 GBP