FTI Treasury will run its bi-annual course on Understanding Treasury Management in March and November 2020.
Tuesday 24th and Wednesday 25th March 2020
DUE TO THE RESTRICTIONS IMPOSED AS A RESULT OF THE COVID-19 PANDEMIC AND TO PROTECT THE HEALTH AND SAFETY OF OUR CLIENTS AND STAFF, WE HAVE CANCELLED THIS EVENT.
NOTE THAT, COVID RESTRICIONS ALLOWING, WE PLAN TO HOST TREASURY TRAINING EVENTS DURING 2021
Understanding the management of financial risks and treasury operations is a critical competence for any organisation with exposures to the financial markets.
Treasury management is concerned with financial market volatility, financial risks and availability of liquidity. As a result, treasury activity can significantly impact on an organisation’s performance.
Fully understanding financial risk management and treasury operations in a treasury environment is vital. It is essential that those responsible for these activities have the necessary knowledge and expertise to properly manage these critical areas.
Governance and control over treasury management activities and treasury practices are essential organisational requirements. It is imperative that best practice controls and systems are in place. Boards and key stakeholders must have the comfort that treasury activities are effectively managed and controlled.
The purpose of this training programme is to provide a solid understanding of treasury as a whole addressing both strategic treasury management and operational treasury management.