International Treasury Management and Corporate Finance - Advanced

Formation inter-entreprise

À qui s'adresse la formation?

Financial professionals (finance, banking, accounting, tax, treasury…) willing to acquire an in-depth knowledge in corporate treasury and wishing to exercise this knowledge in practice.

Durée

49,00 heure(s)

Langues(s) de prestation

EN

Prochaine session

Prérequis

  • Background in finance or account
  • For the advanced Excel workshop, a preliminary (good) knowledge in Excel is required
  • And/or have already completed the course " International Treasury Management and Corporate Finance - Fundamentals "

Objectifs

The treasurer is the custodian of the company's daily liquidity and financial risks. He manages, anticipates, secures and help optimize cash flows by ensuring that financial needs are covered and appropriate instruments are used, as well as take necessary measures to mitigate financial risks.

At the end of this programme, the participant will able to:

  • assist the treasurer of large corporates directly and practically
  • take over treasury responsibilities in a SME The various modules will allow to acquire an in-depth knowledge of the different areas of the "Corporate Treasurer" profession.

Contenu

Module 1: Financial Maths in Excel (Focus on treasury & corporate finance)

Speaker: Hugues Pirotte / Professor of Finance at Solvay Brussels School

  • Focus on treasury & corporate finance
  • Time value of money
  • Vocabulary
  • Compounding intervals
  • Discount and annuity factors
Module 2:Payments, Cash Management and Banking Relations - Advanced

Speaker: François De Witte / Treasury Consultant

  • Recent trends in payments.
  • Liquidity management - Basic concepts.
  • Cash-Flow forecasting - Advanced topics
  • Treasury organisation - In house bank and payment factory
  • 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.
Module 3: Trade Finance - Advanced

Speaker: Benjamin Defays / Senior Associate Vice President

  • General context
  • Cultural aspects
  • Why trade finance in treasury
  • Type of instruments
  • Bank guarantees
  • Bürgschaft
  • Surety bonds
  • Letters of credit
  • Cash against documents
  • Forfeiting
  • Factoring & reverse factoring
  • Alternatives
  • Cash-in-advance
  • Corporate guarantees
  • Disruptive technologies
Module 4: Practical Aspects of International Finance Regulation

Speaker: Lievin Tshikali

With the successive financial crises, serious concerns have naturally been raised in the population, forcing G24 governments and international organisations to build an incredible set of laws to "better" regulate/monitor the activities of banks and other financial institutions. This module provides an overview of international finance regulation. It considers some regulatory and practical issues affecting transnational financial transactions undertaken by global investment and corporate banks.

  • International financial crises
  • Evolution of the international banking supervision
  • Functioning of capital markets
  • Governance - Internal control framework
  • Anti bribery / Whistle-blower policies
  • Overview of AML/CFT regulations
    • Tax evasion - FATCA-CRS regulations
    • Notion of ultimate beneficiary owners
    • Politically exposed persons
    • Market abuse regulations
  • MIFID principles
  • GDPR principles
  • International sanctions regimes
Module 5: Risk Management Applied to Treasury

Advanced Speaker: François Masquelier / CEO

  • FX, interests
  • Counter-parties
  • Others (reputation, etc…)
  • Objectives of hedge accounting
  • Required documentation and formalisation 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 6: Technologies Applied to Treasury

Speaker: François Masquelier / CEO

  • New technologies
    • Blockchain, crypto-currencies, smart contracts
  • Treasury Console (Bloomberg, Thomson Reuters)
  • TMS, Financial Technology

Informations supplémentaires

Certification:

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.

Others Info:

In order to be accepted to this certified path it will be asked to complete this  application form .
This training will be planned and will start when a sufficient number of participants has been reached. You will then be informed at least 2 months before the course.
However, you can still fill in your application and we will contact you.
If you do not wish to be certified but are interested in the topics, almost every course can be purchased independently by clicking on the title in the content below.
This certified path is a blended training which contains both physical (Luxembourg based training) and virtual classroom, e-mentoring, teamwork, etc..

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