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Bank Treasury Management

Bank Treasury Management is a comprehensive professional training course designed to equip banking professionals with the knowledge, strategic insight, and practical skills required to effectively manage treasury…

TFM · Treasury & Financial MarketsClassroom
Duration
5 Days
upcoming dates
60
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Course Overview

Bank Treasury Management is a comprehensive professional training course designed to equip banking professionals with the knowledge, strategic insight, and practical skills required to effectively manage treasury operations within modern financial institutions. In today's rapidly evolving banking environment, treasury functions play a critical role in maintaining liquidity, optimizing funding, managing financial risks, supporting regulatory compliance, and ensuring sustainable profitability. Effective Bank Treasury Management enables financial institutions to strengthen balance sheet resilience while responding proactively to changing market conditions, interest rate movements, regulatory developments, and economic uncertainty. This course provides participants with a structured understanding of the core principles, responsibilities, and strategic importance of treasury management in banks. Participants will explore treasury governance, liquidity management, asset and liability management (ALM), funding strategies, investment management, capital optimization, cash flow forecasting, interest rate risk management, foreign exchange management, and regulatory liquidity requirements. The program emphasizes how treasury activities contribute to financial stability, strategic decision-making, and enterprise-wide risk management. The program also examines treasury risk management frameworks, including market risk, liquidity risk, interest rate risk in the banking book (IRRBB), funding risk, investment portfolio management, collateral management, stress testing, contingency funding planning, and treasury performance measurement. Participants will gain practical knowledge of treasury controls, governance structures, regulatory reporting, and the integration of treasury functions with Enterprise Risk Management, Finance, Compliance, and Banking Operations. Through practical case studies, treasury simulations, and interactive workshops, participants will strengthen their ability to evaluate liquidity positions, optimize funding strategies, manage treasury risks, interpret treasury performance indicators, and support executive decision-making. By the end of the course, participants will be equipped to improve treasury efficiency, strengthen financial resilience, optimize balance sheet management, support regulatory compliance, and enhance sustainable banking performance through effective Bank Treasury Management.

Learning Objectives

  • Analyze Bank Treasury Management principles and evaluate their implementation within banking and financial institutions by the end of the course.
  • Develop comprehensive treasury management frameworks aligned with strategic objectives, regulatory requirements, and international banking best practices.
  • Evaluate liquidity positions, funding requirements, and balance sheet structures to support sound treasury decision-making.
  • Apply asset and liability management (ALM), liquidity management, cash flow forecasting, and funding optimization methodologies.
  • Design treasury risk management strategies covering liquidity risk, market risk, interest rate risk, foreign exchange risk, and investment portfolio risk.
  • Improve treasury governance through effective internal controls, policies, performance monitoring, and executive reporting.
  • Strengthen capital planning, contingency funding planning, and stress testing practices to improve financial resilience.
  • Implement treasury performance measurement using Key Risk Indicators (KRIs), Key Performance Indicators (KPIs), and management dashboards.
  • Assess emerging treasury challenges associated with digital banking, financial technology, evolving market conditions, and changing regulatory expectations.
  • Align Bank Treasury Management with Enterprise Risk Management, Finance, Asset and Liability Management, and corporate governance before course completion.

Who Should Attend

This course is designed for Treasury Managers, Treasury Analysts, Asset and Liability Management (ALM) Managers, Liquidity Risk Managers, Market Risk Managers, Finance Managers, Investment Managers, Capital Management Specialists, Funding Managers, Banking Operations Managers, Enterprise Risk Managers, Financial Controllers, Internal Audit Managers, Regulatory Reporting Professionals, Compliance Managers, and professionals responsible for treasury operations within banks and financial institutions. The program is equally valuable for Chief Financial Officers, Chief Risk Officers, Chief Treasury Officers, Executive Management Teams, Board Risk Committee members, Asset and Liability Committee (ALCO) members, Treasury Dealers, Financial Analysts, Central Bank Professionals, Banking Supervisors, Investment Firms, Insurance Companies, Payment Institutions, and senior executives responsible for treasury strategy, balance sheet optimization, financial risk management, regulatory compliance, and strategic financial planning.

Learning Outcomes

  • By the end of this course, participants will be able to:
  • Develop an integrated Bank Treasury Management framework aligned with international banking standards and regulatory expectations.
  • Evaluate liquidity positions, funding structures, and treasury risks affecting banking operations.
  • Apply asset and liability management (ALM) techniques to optimize balance sheet performance.
  • Design liquidity management strategies and contingency funding plans that enhance financial resilience.
  • Manage interest rate risk, foreign exchange risk, market risk, and investment portfolio risk within treasury operations.
  • Develop treasury governance structures, internal controls, and regulatory reporting processes.
  • Prepare treasury performance reports, management dashboards, and executive recommendations.
  • Integrate treasury management with Enterprise Risk Management, Finance, Compliance, and Banking Operations.
  • Assess emerging treasury risks associated with financial technology, digital banking, evolving financial markets, and regulatory reforms.
  • Develop a practical implementation roadmap to strengthen Bank Treasury Management, improve liquidity management, optimize funding strategies, enhance financial resilience, and support sustainable organizational performance.

Course Outline

Course Outline:

Day 1

Foundations of Bank Treasury Management

  • Principles and objectives of treasury management
  • Treasury organization, governance, and responsibilities
  • Treasury's role in banking strategy and financial stability
  • Regulatory framework and treasury compliance requirements
  • Practical application: Evaluating treasury operations within a banking institution
Day 2

Liquidity, Funding, and Asset & Liability Management

  • Liquidity management principles
  • Cash flow forecasting and liquidity planning
  • Funding strategies and funding diversification
  • Asset and Liability Management (ALM)
  • Practical application: Developing liquidity and funding management strategies
Day 3

Treasury Risk Management

  • Interest Rate Risk in the Banking Book (IRRBB)
  • Market risk and foreign exchange risk management
  • Investment portfolio and collateral management
  • Treasury stress testing and contingency funding planning
  • Practical application: Assessing treasury risks and evaluating balance sheet resilience
Day 4

Treasury Performance, Governance, and Regulatory Reporting

  • Treasury performance measurement
  • Key Risk Indicators (KRIs) and Key Performance Indicators (KPIs)
  • Treasury governance and internal controls
  • Regulatory reporting and supervisory expectations
  • Practical application: Designing treasury dashboards and executive reporting frameworks
Day 5

Building a High-Performance Treasury Function

  • Integrating Bank Treasury Management with Enterprise Risk Management and Finance
  • International best practices and emerging treasury trends
  • Digital transformation and innovation in treasury operations
  • Continuous improvement of treasury governance and performance
  • Final workshop: Developing a comprehensive Bank Treasury Management implementation plan that includes liquidity management, funding optimization, Asset and Liability Management (ALM), treasury risk management, interest rate and foreign exchange risk controls, stress testing, contingency funding planning, governance enhancements, regulatory reporting, performance measurement, and continuous improvement initiatives to strengthen financial resilience, regulatory compliance, balance sheet optimization, and sustainable banking performance.

Upcoming Dates

CityDatesPrice per Participantseats available
DubaiConfirmed
20 – 24 Sept 2026€4,400
MadridConfirmed
21 – 25 Sept 2026€5,400
ParisConfirmed
21 – 25 Sept 2026€5,700
AmsterdamConfirmed
21 – 25 Sept 2026€5,400
MakkahConfirmed
28 Sept – 2 Oct 2026€4,200
RomeConfirmed
28 Sept – 2 Oct 2026€5,800
BakuConfirmed
28 Sept – 2 Oct 2026€4,800
FrankfurtConfirmed
28 Sept – 2 Oct 2026€5,800
ManamaConfirmed
5 – 9 Oct 2026€4,700
BarcelonaConfirmed
5 – 9 Oct 2026€5,400
GenevaConfirmed
5 – 9 Oct 2026€6,300
BerlinConfirmed
12 – 16 Oct 2026€5,800
MarrakeshConfirmed
12 – 16 Oct 2026€4,300
IstanbulConfirmed
12 – 16 Oct 2026€4,700
MilanConfirmed
19 – 23 Oct 2026€6,000
Kuala LumpurConfirmed
19 – 23 Oct 2026€4,400
CairoConfirmed
19 – 23 Oct 2026€3,300
LisbonConfirmed
26 – 30 Oct 2026€5,400
CasablancaConfirmed
26 – 30 Oct 2026€4,300
MunichConfirmed
26 – 30 Oct 2026€5,400
DammamConfirmed
2 – 6 Nov 2026€4,200
MuscatConfirmed
2 – 6 Nov 2026€5,300
LondonConfirmed
2 – 6 Nov 2026€5,600
OnlineConfirmed
8 – 12 Nov 2026€1,700
AmmanConfirmed
9 – 13 Nov 2026€3,100
DohaConfirmed
9 – 13 Nov 2026€4,400
MadinahConfirmed
9 – 13 Nov 2026€4,200
DubaiConfirmed
15 – 19 Nov 2026€4,400
MadridConfirmed
16 – 20 Nov 2026€5,400
AmsterdamConfirmed
16 – 20 Nov 2026€5,400
ParisConfirmed
16 – 20 Nov 2026€5,700
RomeConfirmed
23 – 27 Nov 2026€5,800
BakuConfirmed
23 – 27 Nov 2026€4,800
MakkahConfirmed
23 – 27 Nov 2026€4,200
FrankfurtConfirmed
23 – 27 Nov 2026€5,800
BarcelonaConfirmed
30 Nov – 4 Dec 2026€5,400
GenevaConfirmed
30 Nov – 4 Dec 2026€6,300
ManamaConfirmed
30 Nov – 4 Dec 2026€4,700
BerlinConfirmed
7 – 11 Dec 2026€5,800
MarrakeshConfirmed
7 – 11 Dec 2026€4,300
IstanbulConfirmed
7 – 11 Dec 2026€4,700
MilanConfirmed
14 – 18 Dec 2026€6,000
CairoConfirmed
14 – 18 Dec 2026€3,300
Kuala LumpurConfirmed
14 – 18 Dec 2026€4,400
LisbonConfirmed
21 – 25 Dec 2026€5,400
MunichConfirmed
21 – 25 Dec 2026€5,400
CasablancaConfirmed
21 – 25 Dec 2026€4,300
LondonConfirmed
28 Dec 2026 – 1 Jan 2027€5,600
DammamConfirmed
28 Dec 2026 – 1 Jan 2027€4,200
MuscatConfirmed
28 Dec 2026 – 1 Jan 2027€5,300
OnlineConfirmed
3 – 7 Jan 2027€1,700
AmmanConfirmed
4 – 8 Jan 2027€3,100
DohaConfirmed
4 – 8 Jan 2027€4,400
MadinahConfirmed
4 – 8 Jan 2027€4,200
DubaiConfirmed
10 – 14 Jan 2027€4,400
MadridConfirmed
11 – 15 Jan 2027€5,400
ParisConfirmed
11 – 15 Jan 2027€5,700
AmsterdamConfirmed
11 – 15 Jan 2027€5,400
MakkahConfirmed
18 – 22 Jan 2027€4,200
BakuConfirmed
18 – 22 Jan 2027€4,800

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