Finance & Budgeting

Treasury Management and Cash Optimisation

Course Details

About this course

Treasury Management and Cash Optimisation are critical components of modern financial strategy, ensuring liquidity, managing risks, and supporting business growth. This course is designed to equip treasury professionals with the skills and tools needed to optimise cash flow, forecast financial needs, and manage risks effectively. Participants will learn to balance short-term liquidity needs with long-term financial goals, leverage treasury management systems, and implement best practices in risk mitigation. The course covers key areas like cash management, funding strategies, cash flow forecasting, and technology in treasury operations. Participants will gain the expertise to enhance their organisation’s financial efficiency and resilience. This training is ideal for professionals seeking to deepen their understanding of treasury functions and optimise cash resources in today’s complex financial environment.

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Summary

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Course

Treasury Management and Cash Optimisation

Duration

5 days

Course Code

FIN003

Location

Kuala Lumpur

Start Date

28 Sept 2026

Format

Classroom

Price

$3,600

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