Training Course :Investment Treasury & Cash Management for Finance Leaders

iOpener Training
BAIN6226
Kigali
Monday, 14 Dec 2026 - Friday, 18 Dec 2026
Price: 3900

EXECUTIVE SUMMARY

The Investment Treasury & Cash Management for Finance Leaders course is an advanced professional program designed to elevate treasury functions from operational execution to strategic value creation. The course equips senior finance and treasury professionals with advanced frameworks for liquidity management, working capital optimization, and financial risk control. It focuses on integrating treasury strategy with corporate objectives and board-level decision-making. Participants gain the ability to design resilient treasury structures capable of performing under volatile and stressed market conditions. The program emphasizes advanced analytics, governance, and risk modeling techniques used by leading global organizations. Practical case studies and scenario-based exercises reinforce real-world application. The course addresses complex hedging instruments, liquidity stress testing, and treasury technology integration. Strategic foresight and disciplined decision-making are core themes throughout the program. By completion, participants are prepared to lead treasury functions with confidence, precision, and strategic impact.

INTRODUCTION

Modern treasury functions play a critical role in protecting enterprise value and enabling strategic growth. In an environment characterized by market volatility, interest rate uncertainty, and liquidity risk, treasury leaders must operate beyond traditional cash management practices. This course is designed to support that transition by providing advanced tools, frameworks, and decision models. It addresses treasury governance, working capital strategy, liquidity resilience, and financial risk management at a professional level. The course scope extends from balance sheet optimization to crisis liquidity planning. Participants explore how treasury supports executive leadership and board oversight. Emphasis is placed on analytical rigor, structured decision-making, and risk-adjusted thinking. The program integrates strategy, technology, and data-driven insights. It prepares finance leaders to manage treasury functions with discipline, agility, and strategic clarity.

COURSE OBJECTIVES

Participants will achieve the following objectives by the Investment Treasury & Cash Management for Finance Leaders course:

  • Design advanced working capital structures aligned with corporate strategy and risk appetite.
  • Optimize cash conversion cycles across business lines and operating models.
  • Build integrated liquidity management frameworks across short-, medium-, and long-term horizons.
  • Apply advanced treasury risk modeling to support executive and board-level decisions.
  • Evaluate and implement complex hedging strategies for FX and interest rate exposures.
  • Assess liquidity buffers against opportunity cost and capital efficiency objectives.
  • Strengthen treasury governance, authority frameworks, and performance measurement.
  • Use treasury analytics to improve forecast accuracy and decision transparency.
  • Conduct liquidity stress testing under severe but plausible market scenarios.
  • Manage treasury operations effectively during crises and market disruptions.
  • Integrate treasury technology and data analytics into strategic workflows.
  • Lead treasury functions with strategic discipline and professional confidence.

TARGET AUDIENCE

This Investment Treasury & Cash Management for Finance Leaders program targets a professional audience seeking to improve knowledge and skills:

  • Treasury managers and senior treasury analysts.
  • Group finance managers and cash management leads.
  • CFO-track professionals preparing for executive roles.
  • Corporate treasury professionals with prior risk experience.
  • Finance leaders responsible for liquidity and funding decisions.
  • Professionals managing working capital at scale.
  • Senior analysts supporting treasury strategy and governance.
  • Finance professionals operating in volatile markets.
  • Leaders overseeing bank and counterparty relationships.

COURSE OUTLINE

Day 1: Advanced Treasury Strategy & Governance

  • Evolution of treasury from operational support to strategic value driver.
  • Treasury maturity models and organizational benchmarking.
  • Treasury’s role in enterprise value protection and capital efficiency.
  • Board-level expectations of treasury leadership.
  • Treasury governance frameworks and accountability structures.
  • Treasury charters, authority matrices, and escalation protocols.
  • Risk appetite definition and enforcement mechanisms.
  • Treasury KPIs aligned with strategy and performance outcomes.
  • Liquidity efficiency metrics and cost-of-carry analysis.

Day 2: Advanced Working Capital Optimization

  • Advanced cash conversion cycle decomposition techniques.
  • Structural versus cyclical working capital drivers.
  • Scenario-based CCC modeling and sensitivity analysis.
  • Strategic receivables management frameworks.
  • Advanced credit risk segmentation and exposure assessment.
  • Risk-adjusted customer pricing and credit decision models.
  • Receivables securitization and structured financing options.
  • Strategic payables management and supplier financing design.
  • Ethical, operational, and reputational considerations in supply chain finance.

Day 3: Advanced Liquidity Management & Forecasting

  • Integrated liquidity management frameworks across time horizons.
  • Liquidity layering concepts and buffer optimization.
  • Internal versus external liquidity sourcing strategies.
  • Driver-based cash flow forecasting methodologies.
  • Scenario and sensitivity analysis for liquidity planning.
  • Governance of forecast accuracy and accountability.
  • Liquidity stress testing under extreme market conditions.
  • Crisis liquidity playbooks and contingency funding plans.
  • Early-warning indicators and proactive liquidity management.

Day 4: Advanced Financial Risk Management

  • Advanced foreign exchange risk classification and measurement.
  • Transactional versus economic FX exposure analysis.
  • Multi-currency netting and exposure consolidation strategies.
  • Hedging horizon optimization and policy alignment.
  • Comparative analysis of forwards, options, and structured products.
  • Hedge effectiveness measurement and reporting.
  • Cost–benefit optimization of hedging strategies.
  • Interest rate risk management and debt structure optimization.
  • Counterparty and credit risk modeling at scale.

Day 5: Treasury Technology & Analytics (Advanced)

  • Advanced treasury management system architectures.
  • Integration of TMS with ERP and banking platforms.
  • Automation of treasury controls and reporting processes.
  • TMS selection criteria and implementation risks.
  • Treasury data governance and analytics foundations.
  • Executive-level treasury dashboards and insights.
  • Liquidity analytics for strategic decision support.
  • Risk analytics for board and executive reporting.
  • Future trends in treasury technology and digitalization.

COURSE DURATION

This Investment Treasury & Cash Management for Finance Leaders course is available in different durations:

1 week (intensive training), 2 weeks (moderate pace with additional case workshops), or 3 weeks (a comprehensive learning experience).

The course can be attended in person or online, depending on the trainee's preference.

INSTRUCTOR INFORMATION

This Investment Treasury & Cash Management for Finance Leaders course is delivered by expert trainers worldwide, bringing global experience and best practices.

Instructors are senior treasury professionals and finance leaders with extensive industry experience.

They combine technical depth with executive-level insight.

Training delivery emphasizes practical application and strategic relevance.

Participants benefit from real-world case studies and global treasury perspectives.

F&Q

1- Who should attend this Investment Treasury & Cash Management for Finance Leaders course?

Senior treasury and finance professionals seeking advanced strategic capability.

2- What are the key benefits of this training?

Strategic treasury leadership, improved liquidity resilience, and advanced risk control.

3—Do participants receive a certificate?

Yes, upon successful completion, all participants will receive a professional certification.

4- What language is the course delivered in?

English.

5- Can I attend online?

Yes, you can attend in person, online, or in-house at your company.

CONCLUSION

The Investment Treasury & Cash Management for Finance Leaders course provides an advanced framework for modern treasury leadership. It strengthens strategic thinking, analytical capability, and governance discipline. Participants gain tools to manage liquidity and risk under complex conditions. The course enhances confidence in executive and board-level decision-making. Graduates are equipped to lead treasury functions as strategic value creators.

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