💰 Cash Management Training Course
📘 Course Description This course provides participants with comprehensive knowledge and skills in modern cash management. It covers strategies and tools for optimizing cash flow, forecasting, working capital management, banking relationships, treasury operations, liquidity planning, and managing risks associated with …
Overview
📘 Course Description
This course provides participants with comprehensive knowledge and skills in modern cash management. It covers strategies and tools for optimizing cash flow, forecasting, working capital management, banking relationships, treasury operations, liquidity planning, and managing risks associated with cash. The program is designed to equip professionals with the practical skills needed to improve financial performance and strengthen an organization’s liquidity position.
🎯 Learning Objectives
✅ Understand the fundamentals of cash management
✅ Learn effective cash flow forecasting techniques
✅ Optimize working capital and manage liquidity
✅ Design and improve treasury and banking operations
✅ Analyze cash-related risks and mitigation strategies
✅ Apply tools to enhance cash collection and disbursement processes
👥 Who Should Attend
-
Treasury and cash managers
-
Finance managers and officers
-
Accountants and controllers
-
Banking professionals
-
Anyone involved in cash, liquidity, or working capital management
🗂️ Training Format
✅ Instructor-led lectures
✅ Interactive workshops
✅ Group exercises with real-world scenarios
✅ Case studies from various industries
✅ Excel-based forecasting practice
✅ Open Q&A sessions
📅 Day-by-Day Agenda with Time Breaks
📅 Day 1: Cash Management Fundamentals
| Time | Topic |
|---|---|
| 08:30 – 09:00 | Welcome & Course Objectives |
| 09:00 – 10:30 | Role of Cash Management in Organizations |
| 10:30 – 10:45 | ☕ Coffee Break |
| 10:45 – 12:15 | Principles of Liquidity Management |
| 12:15 – 13:15 | 🍽 Lunch |
| 13:15 – 14:45 | Cash Conversion Cycle: Components & Analysis |
| 14:45 – 15:00 | ☕ Coffee Break |
| 15:00 – 16:30 | Understanding Working Capital and Cash Flow |
📅 Day 2: Cash Flow Forecasting Techniques
| Time | Topic |
|---|---|
| 08:30 – 10:00 | Building Accurate Cash Flow Forecasts |
| 10:00 – 10:15 | ☕ Coffee Break |
| 10:15 – 12:15 | Forecasting Methods: Receipts & Payments, Rolling |
| 12:15 – 13:15 | 🍽 Lunch |
| 13:15 – 14:45 | Excel Workshop: Developing Cash Forecast Models |
| 14:45 – 15:00 | ☕ Coffee Break |
| 15:00 – 16:30 | Interpreting Forecast Results for Decision Making |
📅 Day 3: Optimizing Working Capital & Liquidity
| Time | Topic |
|---|---|
| 08:30 – 10:00 | Strategies for Optimizing Receivables & Payables |
| 10:00 – 10:15 | ☕ Coffee Break |
| 10:15 – 12:15 | Inventory Management & Its Impact on Liquidity |
| 12:15 – 13:15 | 🍽 Lunch |
| 13:15 – 14:45 | Liquidity Ratios & Key Performance Indicators |
| 14:45 – 15:00 | ☕ Coffee Break |
| 15:00 – 16:30 | Managing Short-Term Financing Options |
📅 Day 4: Treasury Operations & Banking Relationships
| Time | Topic |
|---|---|
| 08:30 – 10:00 | Designing Effective Treasury Functions |
| 10:00 – 10:15 | ☕ Coffee Break |
| 10:15 – 12:15 | Choosing and Managing Banking Partners |
| 12:15 – 13:15 | 🍽 Lunch |
| 13:15 – 14:45 | Payment Systems & Cash Disbursement Processes |
| 14:45 – 15:00 | ☕ Coffee Break |
| 15:00 – 16:30 | Cash Concentration, Pooling, and Netting Techniques |
📅 Day 5: Risk Management & Best Practices
| Time | Topic |
|---|---|
| 08:30 – 10:00 | Identifying Cash Flow Risks |
| 10:00 – 10:15 | ☕ Coffee Break |
| 10:15 – 12:15 | Tools for Managing Currency & Interest Rate Risks |
| 12:15 – 13:15 | 🍽 Lunch |
| 13:15 – 14:45 | Fraud Prevention in Cash Management |
| 14:45 – 15:00 | ☕ Coffee Break |
| 15:00 – 16:30 | Best Practices, Group Exercise & Final Discussion |
📦 Materials Provided
✅ Cash management templates & checklists
✅ Excel forecasting models
✅ Course workbook & slides
✅ Certificate of Completion
Target audiences
- Reservoir Engineers, Geologists
You May Like
📘 Procurement and Supplier Relationship Management
🎯 Course Description: This course equips procurement professionals with the knowledge and skills to effectively manage supplier relationships and optimize procurement processes. Emphasizing strategic supplier collaboration, performance management, and value creation, the program helps organizations build resilient, mutually beneficial partnerships. …
📘 Managing Efficient Shutdown and Turnaround
🎯 Course Description: This practical 5-day course is designed to equip professionals with the knowledge and skills required to plan, execute, and close out shutdowns and turnarounds (STOs) in industrial plants efficiently. The course covers best practices in scope management, …
📘 Advanced Contract Drafting and Negotiation Skills
🎯 Course Description: This intensive 5-day program provides participants with advanced tools and techniques for drafting, reviewing, and negotiating contracts in complex, high-value projects. The course focuses on precision in drafting, clarity in language, minimizing ambiguities, and negotiation strategies that …
🌍 Roadmap to Achieve Sustainability: Building a Resilient and Responsible Energy Future
🔎 Course Description This intensive course empowers energy professionals to develop and implement actionable sustainability strategies. It covers global sustainability frameworks, decarbonization pathways, circular economy principles, ESG integration, and reporting practices tailored for oil, gas, and energy industries. Participants will …
🔄 Management of Change (MOC) & Pre-Startup Safety Review (PSSR) Training Course
📘 Course Description: This course provides in-depth training on the systematic control of changes to processes, equipment, people, and procedures through Management of Change (MOC) protocols, and how to verify safety before process startup using Pre-Startup Safety Review (PSSR). Participants …






