Profile
At the end of the program, the participants will be able to:- Identify, Quantify and Benchmark foreign exchange & foreign exchange Market Liquidity Risks- Demonstrate a clear understanding of the overview, behaviour and constraints of foreign exchange Markets and Regulations- Demonstrate a clear understanding of the overview, depth & liquidity, costs & efficiencies of foreign exchange Hedging Products- Identify Cash & Funding Liquidity Risks and learn how to quantify and benchmark them- Illustrate the overview, regulations and solutions of Capital Controls and Cross Border Regulations- Demonstrate a clear understanding of overview, options, costs & constraints of Cashpool Structures and Liquidity Solutions
What You'll Learn
In this course, we shall present an outline of the daily life in the Corporate Treasurer, what are the typical roles and responsibilities. We will share some typical workflow and operational activities in our daily work. i.e foreign exchange exposures, cashflow forecasts and liquidity reports are one of the main reports that Treasurers look at and monitor.As Treasurers, we will have to manage the financial risks like cashflow, foreign exchange, interest rate, funding and it is our responsibility to ensure that operationally the organisation is protected and funded without hiccups and gaps.Asia Pacific region is home to many interesting markets whereby the currencies usage is restricted, market liquidity is limited, and cross border fund transfers are not straightforward.Treasurers need to have a good understanding of the market colors and stakeholders' behavior, the currency liquidity and the hedging options available. As cash and liquidity managers, we need to know how to optimize our cash, structure our bank accounts and network, and proactively manage any restrictions on capital controls and movement of funds.
Minimum Entry Requirement
Finance, Accounting, Business related Degrees/Diplomas/Professional certifications