Treasury Management - Funding/Liquidity/Interest Rate/FX/Capital - Managing Treasury Risk 2016 is a webinar that covers topics such as:
- Liquidity Management
- Balance Sheet Management
- Asset/Liability Management
- Funding - Managing and initiating
- Transfer Pricing - Methodology and management
- Interest Rate Management
- Foreign Exchange Exposure Management
- Investment Account & Surplus Funds Management
- Regulatory Compliance - Pertaining to Treasury responsibilities
- Capital Position Management - Participation
Treasury Management - Funding/Liquidity/Interest Rate/FX/Capital - Managing Treasury Risk 2016 is intended for:
- Board members of a bank
- Treasury staff members
- Risk Managers of a bank
- Executive management of a bank
- Auditors of a bank
- Compliance Managers of a bank
- Regulator Staff
- University and college educators in Finance/Business/ Banking/ Risk Management