Cash Management: Control, Reconciliation and Risk Strategies Virtual Training

  • Time

    10:00am - 3:00pm

  • End Date

    19 Apr, 2022 - 21 Apr, 2022

  • Price

    ₦175,000

Event Details

This course is designed to provide participants with current, practical knowledge of the essential elements of cash management. They will learn practical ideals on how to transform their organization into a world class operation that operates with better control, improved efficiency at a reduced cost.

 

CONTENTS:

Cash Administration

    · Fundamentals of cash management

    · Managing cash level

 

Cash Forecasting

    · Forecast models

    · Cash planning

     · Cash budget

 

Reconciliation

    · Cash Reconciliation

    · Bank Reconciliation

    · Revenue Collection

    · Financial asset management

Cash control

    · Risk management

    · Cash safety and security

    · Managing cash level

 

Treasury functions

    · Debt management

 

FOR WHOM: Treasurers, Accountants, Auditors, Budget Managers, Cash Officers, Treasury, Managers and others who perform related functions in Public and Private Sectors..

TRAINING METHODOLOGY

The training methodology combines lectures, discussions, group exercises and illustrations. Participants will gain both theoretical and practical knowledge of the topics. The emphasis is on the practical application of the topics and as a result participant will go back to the workplace with both the ability and the confidence to apply the techniques learned to their duties.

 

DATE:

1ST BATCH: 19th – 21st April, 2022          

2ND BATCH: 17th – 19th Oct, 2022

Other Dates

Start Date End Date
23 Apr, 2019 26 Apr, 2019
Start Date End Date
27 Aug, 2019 30 Aug, 2019
Start Date End Date
19 Apr, 2022 21 Apr, 2022
Start Date End Date
17 Oct, 2022 19 Oct, 2022

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