Training Details

Cash flow and treasury risk management
Provider: symantic
Duration: 3 days
Starting Date: 2024-03-25
Ending Date: 2024-03-27
Attendant Fee: NGN 250,000
Venue: 20 Harvard Road, Sabo Yaba , Lagos State, Nigeria
Other Date(s): 22-24 May, 28-30 Aug, 25-27 Sept, 28-30 Oct, 25-27 Nov, 11-13 Dec
Posted on: 5th Feb, 2024 07:08:48 PM
Event Description
Liquidity of an organization ensures solvency and continuity of operations of business. Those involved in the payment of suppliers invoices need to be acquainted with the wherewithal of Treasury management. The risks associated with treasury management is enormous and need to be managed well to keep business operations on going. Treasury and account payable accountants and finance executives need to be evaluating and monitoring the level of cash flow before payments are made. The learning objectives of this program will include but not limited to cash management, liquidity management, debt management, optimum utilisation of funds, banking relationship and risk management as well as international funding. Participants expected: Account payable executives, finance executives, account recei
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414 old Ojo Road, Finiger Bus Stop
Satelite Town, Lagos
Tel:  +234-7010182707, +234-9038715107
Email: info@symanticconsulting.com