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Money Markets & Fixed Income Instruments

Money Markets & Fixed Income Instruments is a comprehensive professional training course designed to equip banking and financial professionals with the knowledge, analytical capabilities, and practical skills required…

TFM · Treasury & Financial MarketsClassroom
Duration
5 Days
upcoming dates
60
Download Brochure

Course Overview

Money Markets & Fixed Income Instruments is a comprehensive professional training course designed to equip banking and financial professionals with the knowledge, analytical capabilities, and practical skills required to understand money market operations and fixed income investment strategies. As financial institutions operate in increasingly dynamic interest rate environments and evolving capital markets, effective management of money market activities and fixed income portfolios has become essential for liquidity management, treasury optimization, investment performance, and financial risk management. This course enables participants to develop a strategic understanding of how money markets and fixed income instruments support institutional funding, investment, and balance sheet management. The course provides a structured overview of the global money market ecosystem, including short-term funding instruments, interbank markets, repurchase agreements (Repos), Treasury Bills, commercial paper, certificates of deposit, and central bank operations. Participants will also examine the characteristics of fixed income securities such as government bonds, corporate bonds, sovereign debt, sukuk, floating-rate notes, and other debt instruments. The program emphasizes how these instruments are used by banks, governments, institutional investors, and corporations to manage liquidity, raise capital, preserve capital, and generate investment returns. Participants will explore fixed income valuation techniques, yield curve analysis, duration and convexity measurement, interest rate risk management, portfolio construction, credit risk assessment, market liquidity, investment performance measurement, and regulatory considerations. The course also covers treasury investment strategies, Asset & Liability Management (ALM), market risk management, portfolio diversification, stress testing, and the role of money markets in supporting financial stability. Practical discussions focus on integrating treasury operations with investment management, enterprise risk management, and regulatory compliance. Through practical case studies, market simulations, analytical exercises, and interactive workshops, participants will strengthen their ability to evaluate money market conditions, assess fixed income investment opportunities, construct diversified portfolios, manage interest rate exposure, and support strategic treasury and investment decisions. By the end of the course, participants will be equipped to enhance treasury performance, improve investment decision-making, strengthen balance sheet resilience, and support sustainable financial performance through effective Money Markets & Fixed Income Instruments management.

Learning Objectives

  • Analyze Money Markets & Fixed Income Instruments and evaluate their role within banking and financial institutions by the end of the course.
  • Develop a comprehensive understanding of money market structures, participants, products, and funding mechanisms.
  • Evaluate fixed income securities using professional valuation methodologies and market analysis techniques.
  • Apply yield curve analysis, duration, convexity, and pricing models to assess interest rate sensitivity and investment risk.
  • Design diversified fixed income investment strategies that support liquidity management, capital preservation, and portfolio performance.
  • Improve treasury investment decisions through effective money market analysis and fixed income portfolio management.
  • Strengthen risk management by implementing credit risk assessment, market risk measurement, and interest rate risk management techniques.
  • Implement performance measurement frameworks using Key Risk Indicators (KRIs), Key Performance Indicators (KPIs), and investment reporting.
  • Assess emerging developments affecting money markets and fixed income investments, including digital markets, sustainable finance, and changing regulatory requirements.
  • Align Money Markets & Fixed Income Instruments management with Treasury Management, Asset & Liability Management, Enterprise Risk Management, and investment governance before course completion.

Who Should Attend

This course is designed for Treasury Managers, Investment Managers, Portfolio Managers, Treasury Dealers, Fixed Income Analysts, Treasury Analysts, Asset & Liability Management (ALM) Managers, Market Risk Managers, Liquidity Managers, Finance Managers, Capital Market Professionals, Investment Advisors, Banking Operations Managers, Financial Analysts, Internal Audit Managers, Compliance Managers, and professionals responsible for treasury investments and fixed income portfolios within banks and financial institutions. The program is equally valuable for Chief Financial Officers, Chief Risk Officers, Chief Investment Officers, Chief Treasury Officers, Executive Management Teams, Asset and Liability Committee (ALCO) members, Board Risk Committee members, Central Bank Professionals, Banking Supervisors, Sovereign Wealth Funds, Pension Funds, Insurance Companies, Investment Firms, Asset Management Companies, Brokerage Firms, and senior executives responsible for treasury strategy, portfolio management, capital markets, liquidity management, and institutional investment decision-making.

Learning Outcomes

  • By the end of this course, participants will be able to:
  • Develop an integrated framework for managing Money Markets & Fixed Income Instruments in accordance with international financial market practices.
  • Evaluate money market instruments and fixed income securities based on risk, return, liquidity, and investment objectives.
  • Apply professional bond pricing techniques, yield curve analysis, duration analysis, and convexity measurement.
  • Design diversified fixed income portfolios that optimize risk-adjusted returns and support liquidity objectives.
  • Measure and manage interest rate risk, market risk, and credit risk affecting fixed income investments.
  • Strengthen treasury investment governance through effective portfolio monitoring, internal controls, and regulatory compliance.
  • Prepare executive investment reports, treasury dashboards, and portfolio performance analysis using Key Risk Indicators (KRIs) and Key Performance Indicators (KPIs).
  • Integrate money market activities with Treasury Management, Asset & Liability Management, Market Risk Management, and Enterprise Risk Management.
  • Assess emerging trends in fixed income markets, digital trading platforms, sustainable finance, and evolving monetary policy.
  • Develop a practical implementation roadmap to strengthen Money Markets & Fixed Income Instruments management, improve investment performance, optimize treasury operations, enhance financial resilience, and support sustainable banking performance.

Course Outline

Course Outline:

Day 1

Foundations of Money Markets and Fixed Income Instruments

  • Structure and functions of money markets
  • Participants and financial market infrastructure
  • Types of money market instruments
  • Introduction to fixed income securities
  • Practical application: Evaluating money market conditions and investment opportunities
Day 2

Fixed Income Valuation and Portfolio Construction

  • Bond pricing methodologies
  • Yield, yield curves, and term structure analysis
  • Duration and convexity
  • Fixed income portfolio construction strategies
  • Practical application: Pricing bonds and building diversified investment portfolios
Day 3

Treasury Investment and Risk Management

  • Treasury investment strategies
  • Interest rate risk management
  • Credit risk assessment for fixed income investments
  • Liquidity management and market risk analysis
  • Practical application: Evaluating fixed income portfolio risks under changing market conditions
Day 4

Governance, Performance Measurement, and Regulatory Compliance

  • Investment governance and portfolio oversight
  • Key Risk Indicators (KRIs) and Key Performance Indicators (KPIs)
  • Regulatory reporting and treasury compliance
  • Stress testing and scenario analysis for investment portfolios
  • Practical application: Developing investment dashboards and treasury performance reports
Day 5

Building a High-Performance Money Markets & Fixed Income Framework

  • Integrating Money Markets & Fixed Income Instruments with Treasury Management and Asset & Liability Management
  • International best practices in institutional fixed income investing
  • Digital transformation, electronic trading platforms, and innovation in capital markets
  • Continuous improvement of treasury investment performance and governance
  • Final workshop: Developing a comprehensive Money Markets & Fixed Income Instruments implementation plan that includes money market analysis, fixed income portfolio construction, investment valuation techniques, interest rate risk management, credit risk assessment, liquidity planning, treasury governance, regulatory compliance, performance measurement, stress testing, and continuous improvement initiatives to strengthen treasury investment capabilities, optimize portfolio performance, enhance financial resilience, and support sustainable banking performance.

Upcoming Dates

CityDatesPrice per Participantseats available
BerlinConfirmed
21 – 25 Sept 2026€5,800
IstanbulConfirmed
21 – 25 Sept 2026€4,700
MarrakeshConfirmed
21 – 25 Sept 2026€4,300
Kuala LumpurConfirmed
28 Sept – 2 Oct 2026€4,400
MilanConfirmed
28 Sept – 2 Oct 2026€6,000
CairoConfirmed
28 Sept – 2 Oct 2026€3,300
LisbonConfirmed
5 – 9 Oct 2026€5,400
MunichConfirmed
5 – 9 Oct 2026€5,400
CasablancaConfirmed
5 – 9 Oct 2026€4,300
LondonConfirmed
12 – 16 Oct 2026€5,600
MuscatConfirmed
12 – 16 Oct 2026€5,300
DammamConfirmed
12 – 16 Oct 2026€4,200
OnlineConfirmed
18 – 22 Oct 2026€1,700
AmmanConfirmed
19 – 23 Oct 2026€3,100
DohaConfirmed
19 – 23 Oct 2026€4,400
MadinahConfirmed
19 – 23 Oct 2026€4,200
DubaiConfirmed
25 – 29 Oct 2026€4,400
AmsterdamConfirmed
26 – 30 Oct 2026€5,400
ParisConfirmed
26 – 30 Oct 2026€5,700
MadridConfirmed
26 – 30 Oct 2026€5,400
FrankfurtConfirmed
2 – 6 Nov 2026€5,800
BakuConfirmed
2 – 6 Nov 2026€4,800
MakkahConfirmed
2 – 6 Nov 2026€4,200
RomeConfirmed
2 – 6 Nov 2026€5,800
BarcelonaConfirmed
9 – 13 Nov 2026€5,400
GenevaConfirmed
9 – 13 Nov 2026€6,300
ManamaConfirmed
9 – 13 Nov 2026€4,700
MarrakeshConfirmed
16 – 20 Nov 2026€4,300
BerlinConfirmed
16 – 20 Nov 2026€5,800
IstanbulConfirmed
16 – 20 Nov 2026€4,700
MilanConfirmed
23 – 27 Nov 2026€6,000
CairoConfirmed
23 – 27 Nov 2026€3,300
Kuala LumpurConfirmed
23 – 27 Nov 2026€4,400
CasablancaConfirmed
30 Nov – 4 Dec 2026€4,300
LisbonConfirmed
30 Nov – 4 Dec 2026€5,400
MunichConfirmed
30 Nov – 4 Dec 2026€5,400
MuscatConfirmed
7 – 11 Dec 2026€5,300
DammamConfirmed
7 – 11 Dec 2026€4,200
LondonConfirmed
7 – 11 Dec 2026€5,600
OnlineConfirmed
13 – 17 Dec 2026€1,700
MadinahConfirmed
14 – 18 Dec 2026€4,200
AmmanConfirmed
14 – 18 Dec 2026€3,100
DohaConfirmed
14 – 18 Dec 2026€4,400
DubaiConfirmed
20 – 24 Dec 2026€4,400
AmsterdamConfirmed
21 – 25 Dec 2026€5,400
MadridConfirmed
21 – 25 Dec 2026€5,400
ParisConfirmed
21 – 25 Dec 2026€5,700
RomeConfirmed
28 Dec 2026 – 1 Jan 2027€5,800
BakuConfirmed
28 Dec 2026 – 1 Jan 2027€4,800
FrankfurtConfirmed
28 Dec 2026 – 1 Jan 2027€5,800
MakkahConfirmed
28 Dec 2026 – 1 Jan 2027€4,200
GenevaConfirmed
4 – 8 Jan 2027€6,300
ManamaConfirmed
4 – 8 Jan 2027€4,700
BarcelonaConfirmed
4 – 8 Jan 2027€5,400
MarrakeshConfirmed
11 – 15 Jan 2027€4,300
BerlinConfirmed
11 – 15 Jan 2027€5,800
IstanbulConfirmed
11 – 15 Jan 2027€4,700
Kuala LumpurConfirmed
18 – 22 Jan 2027€4,400
CairoConfirmed
18 – 22 Jan 2027€3,300
MilanConfirmed
18 – 22 Jan 2027€6,000

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