Payments, Cash Management and Banking Relations - Fundamentals

Inter-company training

Who is the training for?

Anyone wishing to acquire a basic knowledge of payments and international cash management and put this knowledge into practice.

Duration

11,50 hours(s)

Language(s) of service

EN

Next session

16.11.2026
Location
Luxembourg

Price

425,00€

Goals

This module is part of the certified path "International Treasury Management and Corporate Finance - Fundamentals". It can also be taken independently from the certified path.

Upon successful completion of this course, the participant should be able to:

  • Have a good understanding of the payment and interbank clearing and settlement methods
  • Be familiar with the different payment flow instruments
  • Be aware of the importance of cash and working capital management
  • Have an insight in the international cash and liquidity management
  • Manage the day to day cash management and have a basic knowledge of the organisation of the treasury.
  • Have an insight in how to finance the company and to manage the bank relationships
  • Create an action plan

Contents

  • 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

Certificate, diploma

At the end of the training, the participants will receive a certificate of attendance delivered by the House of Training.

Next session

Datum
City
Language and price
16.11.2026
Luxembourg
EN 425,00€

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