This comprehensive 5-day course provides finance professionals with advanced knowledge and skills in treasury and cash management. Participants will learn best practices for optimizing liquidity, managing financial risks, and improving working capital efficiency. The course covers key areas including cash flow forecasting, investment strategies, and leveraging technology for treasury operations.
City : Orlando, Florida (USA)
Code : 3073_133956
Course Date: 21 - 25 Apr 2025
The Fess : 5700 Euro