Wherever you're based, whatever your training needs, we have a course to suit you.
An essential introductory course for those who are new to international cash and treasury management.
London, UK, 27 February - 1 March 2017
Geneva, Switzerland, 6-8 November 2017
Online version of our popular cash flow forecasting course to maximise the benefits of improved cash generation.
US/Europe timezone, 28-29 March 2017
US/Europe timezone, 10-11 October 2017
A guide to the elements of treasury that are critical to the key tasks facing today's CFOs.
Understand how FX and money markets work to make strategic hedging decisions and lower your transaction costs.
23-24 February 2017 | 9am NY | 11am São Paulo | 3pm Geneva
A step-by-step guide to save you time, money and resources when selecting a new TMS.
A look at the systems and integration solutions being used by major corporations in different regions.
Understand how to hedge your exposures with the right products.
Esta pré-conferência apresenta aos executivos do setor financeiro e não financeiro uma ampla visão sobre a geração e opções para a gestão de caixa.
Obtenga las técnicas de tesorería que son aplicadas por las principales organizaciones mundiales en este curso introductorio intensivo de un día.
This is the only course of its kind on international corporate treasury and will serve as your comprehensive guide to the essential elements of cash management.
“Excellent tutor and guest speakers”
“Thanks to this course, I can now put all the pieces of the treasury puzzle together”
“Excellent, very knowledgeable tutor”