Treasury Management and Credit Collections

Formation inter-entreprise

Durée

 8,00 heure(s)

Langue(s) de prestation

EN

Prochaine session

 08.10.2026
Lieu
 Luxembourg

Prix

260,00€

Qui organise cette formation ?

Fondation créée en 2015 par la Chambre de Commerce et l’Association des Banques et Banquiers Luxembourg (ABBL), la House of Training est un organisme agréé de formation professionnelle continue qui s'engage à contribuer activement à la compétitivité et à l'attractivité du Luxembourg en développant les compétences de ceux qui font vivre son économie.

À qui s'adresse la formation?

Anyone interested in learning how accounting works and understanding corporate cash flow.

Prérequis

Basic financial and accounting knowledge

Objectifs

In his day-to-day work, the accountant must in particular be able to follow/manage the cash flow and the credit collections of the company. Cash management starts from a different dimension than the accounting perspective, namely that of flows and cash management.
The objective of this training is to give an overview of the treasury dimension, the cash & the flow management, the monitoring of client settlement (Credit Control), the financial of the company and the risk management. In addition, we will also look at how best to manage the banking reporting, the reconciliation and the bank relationships.

At the end of the training, the participant will be able to:

  • Identify the cash flow components and their interactions with accounting
  • Understand the basics of a company's day-to-day cash management
  • Optimize flows in the company
  • Manage customer collections and the development of a "Credit Control"
  • Better understand banking reporting and reconciliation
  • Know the organization of a treasury department and its tools
  • Identify basic tools for hedging risks, managing debt and excess liquidity

Contenu

  • Definition of treasury objectives
  • Relations and interactions with other departments including accounting
  • Optimizing the management of financial flows in the company
  • Cash and liquidity management
  • Basic cash management techniques
  • Identification and management of financial risks
  • Financing and banking management
  • Technical tools available to the treasurer

Certificat, diplôme

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

Prochaine session

Date
Ville
Language & prix
08.10.2026
Luxembourg
EN 260,00€

Ces formations pourraient vous intéresser