Treasury Management - Liquidity, Interest Rate, Foreign Exchange and Capital Risk Management 2015 is a webinar that covers topics such as:
- Nature of each area of risk
- Risks to be managed
- Treasury management tools
- Treasury management practices
Treasury Management - Liquidity, Interest Rate, Foreign Exchange and Capital Risk Management 2015 is intended for:
- Senior and executive management
- Treasury management staff
- Auditors
- Risk managers with treasury management oversight
- Regulatory staff
- University risk management educators