Payments, Cash Management and Banking Relations - Advanced

Formation inter-entreprise

À qui s'adresse la formation?

Treasurer and Cash Managers wishing to further develop their knowledge.

Durée

8,00 heure(s)

Langues(s) de prestation

EN

Prochaine session

12.03.2025
Lieu
Luxembourg

Prix

260,00€

Prérequis

Have already some basics knowledge and experience in payments and cash management and/or have completed the training "Payments, Cash Management and Banking Relations - Fundamentals".

Objectifs

This module is part of the certified path"International Treasury Management and Corporate Finance - Advanced". It can also be taken independently.

Upon successful completion of this course, the participant should be able to:

  • Have a good understanding of recent trends in the payments and how to leverage on them
  • Make a deep dive in the advanced international cash and liquidity management topics
  • Make a deep dive in the cash flow forecasting
  • Have a good insight in the international cash and liquidity management
  • Get a good view on the treasury organisation and the tooling
  • Get a deep knowledge on the challenges of the bank and their impact on managing the banking relationships
  • Leverage on the opportunities provided by the open banking
  • Create and action plan

Contenu

  • Recent trends in payments
  • Liquidity Management - Basic concepts
  • Cash-Flow Forecasting - Advanced topics
  • Treasury organisation - In house bank and payment factoy
  • Treasury technology - TMS
  • Hot topics on banking relations – RFP and implementation
  • Challenges of the banks and impact on the banking relations
  • Open banking – Opportunities for corporates

Certificat, diplôme

At the end of the training, the participants will receive a certificate of participation delivered by the House of Training.

Prochaine session

Date
Ville
Language & prix
12.03.2025
Luxembourg
EN 260,00€

Ces formations pourraient vous intéresser