Course Overview
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
Have Questions About This Course?
We understand that choosing the right training program is an important decision. Our comprehensive FAQ section provides answers to the most common questions about our courses, registration process, certification, payment options, and more.
- Course Information - Duration, format, and requirements
- Registration & Payment - Easy booking and flexible payment options
- Certification - Internationally recognized credentials
- Support Services - Training materials and post-course assistance
Upcoming Events for This Course
Find upcoming training sessions for this course in different cities