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Catalog

International Treasury Management and Corporate Finance - Fundamentals

Accounting

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Description

Description

The treasurer is the custodian of the company's daily liquidity. He manages, anticipates and secures cash flows by ensuring that financial needs are covered.

This cursus will give the ability to assist the treasurer of large corporates directly and practically, or to take over the treasury responsibilities in a SME.

The different modules will allow you to acquire the fundamentals of the different areas of the "Corporate Treasurer" profession.

Programme

Module 1  - Introduction to Treasury Management

Speaker: Benjamin Defays / Treasury Manager

  • Bank account opening/closing

  • KYC

  • Payments and bank connectivity

  • Liquidity structures

  • Cash forecast

  • Importance of working capital

  • Factoring/reverse factoring

  • Main financial measures

  • Economic thinking

  • Risk Measures

  • Hedging

  • Fraud risk

  • Credit risk

  • General context

  • Bank guarantees

  • Letters of credit

This course include also a part on Trade Finance and  Credit and Collection

Trade Finance applied to Treasury : 

  • General context

  • Cultural aspects

  • Why trade finance in treasury

  • Security instruments

  • Type of instruments

  • Bank guarantees

  • Letters of credit

  • Cash against documents

  • Alternatives

Credit and Collection applied to Treasury : 

  • Introduction to credit risk management
  • Concepts & Practices/Types of credit risks
  • Understanding financial statements and ratios
  • Credit Scoring/Ratings – S&P, Bloomberg models
  • Collection:
    • Collecting overdue receivables – setting priorities
    • Strategies dealing with overdue invoices
    • Debt collection services development

Module 2 : Payments, Cash Management and Banking Relations - Fundamentals

Speaker François De Witte / Treasury Consultant

  • Payment and interbank clearing and settlement methods.

  • Payments instruments, processes and tools

  • Electronic banking channels

  • Working capital, cash and liquidity management – basic concepts

  • Day to day cash management

  • Organisation of the cash management and tooling

  • Financing the company

  • Basic insights in managing banking relationships

Module 3 : Risk Management Applied to Treasury - Fundamentals

Speaker: François Masquelier / CEO

  • FX, Interests
  • Counter-parties
  • Others (Reputation, etc…)
  • Objectives of hedge accounting
  • Required documentation and formalization of hedge accounting relationships
  • Different types of hedges (Fair Value, Cash Flow, Net Investment)
  • Booking adjustments of different hedge types
  • Typical examples of different hedge types

Module 4 : Cyber-fraud: what you need to know to manage this ever increasing risk

Speaker: Thierry Hamon / Cash management & Cybersecurity expert 

  • Getting an overview of the different cyber-attacks techniques currently used
  • Understand the possible consequences of cyber-fraud and what needs to be protected
  • Learn 50 ways to protect
  • Special focus on IT backup, fraudulent emails & disaster recovery plan for treasury
  • Co-construction of counter-measure list for all main cyber-attacks
  • Personal action plan definition for each participant

Public cible

Anyone who wants to acquire basic knowledge of corporate treasury and put this knowledge into practice.

Prerequisites
  • Basic background in finance or accounting
  • For the advanced Excel workshop, a preliminary (good) knowledge in Excel is required.

Conditions

Course Material

Please note that for environmental reasons no paper version of the training material will be provided for your training. The course material can be downloaded free of charge via your portal before the start of the course (download the Client Portal User’s Guide here). You will be able to view it on the screen of your mobile device or print it if necessary. If your registration has been made by a training manager of your company please contact him/her so that he/she can give you access to it or send it to you.

Certificate

At the end of the programme, the participants will receive a “Certificate of Attendance” delivered by the House of Training, and an attestation of “Exam Success Pass” delivered by ATEL. 

In order to get certified, an 80% rate of attendance and a 60% average score on the examinations are required.

The participants will also receive a one-year free membership to ATEL giving a number of advantages.

Location
Chambre de Commerce Luxembourg
7, rue Alcide de Gasperi
L-1615 Luxembourg
Luxembourg
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Sessions and schedules

Download the schedule (PDF)

  • Wed 29.10.2025

    12:00 to 13:00

    1H

    Kick-off - Parcours International Treasury - Fundamentals

    Classe virtuelle

  • Wed 12.11.2025

    08:30 to 17:30

    8H

    Introduction to Treasury Management

    Chambre de Commerce Luxembourg

  • Fri 14.11.2025

    08:30 to 17:30

    8H

    Introduction to Treasury Management

    Chambre de Commerce Luxembourg

  • Tue 18.11.2025

    08:30 to 17:30

    8H

    Payments, Cash Management and Banking Relations - Fundamentals

    Chambre de Commerce Luxembourg

  • Thu 20.11.2025

    18:00 to 21:30

    3H30

    Payments, Cash Management and Banking Relations - Fundamentals

    Classe virtuelle

  • Wed 26.11.2025

    08:30 to 17:30

    8H

    Risk Management applied to Treasury - Fundamentals

    Chambre de Commerce Luxembourg

  • Wed 03.12.2025

    08:30 to 17:30

    8H

    Cyberfraud applied to treasury

    Chambre de Commerce Luxembourg

  • Thu 18.12.2025

    18:00 to 21:00

    3H

    Examen - Parcours International Treasury - Fundamentals

    Classe virtuelle