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Treasury & Liquidity Risk Management

Optimising Financial Resources

3 Weeks London / Riyadh / Dubai

Programme Overview

Develop expertise in treasury management and liquidity risk. This programme covers the full spectrum of treasury operations, from cash management to sophisticated hedging strategies and regulatory compliance.

Key Modules

1
Treasury Operations & Cash Management
2
Liquidity Risk Framework (Basel III/IV)
3
Interest Rate Risk Management
4
Foreign Exchange Risk Management
5
Stress Testing & Contingency Funding Plans

Target Audience

Treasurers, ALM Managers, Liquidity Risk Officers, CFOs

Interested in This Programme?

Contact us to discuss bespoke delivery options and group pricing.

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Programme Details

Duration3 Weeks
DeliveryLondon / Riyadh / Dubai
PillarCore Banking