| What Will the Participant Gain?
The participant will gain the practical knowledge and skills required to manage cash and liquidity effectively in a changing financial environment by applying digital analytics, AI-enabled forecasting, and data-driven decision-making to improve financial performance, strengthen resilience, and support the organization’s financial stability. At the end of this course, the participants should be able to
Target Audience: Entrepreneurs, finance, treasury and investment managers, accountants, business analysts, and cash and liquidity management professionals in corporations, financial institutions, government entities, and non-profit organizations, as well as anyone involved in decisions related to funding, working capital, payments, risk, and financial digital transformation. |
Target Competencies
Course Methodology: This training course will be carried out through the use of best practices and the right combination of engaging and purposeful tools such as:
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Modern Cash Flow Management
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Resilient Liquidity Management
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3 – 7 May، 2026
Do you require a schedule or a tailored program that suits your needs? Do you need a date or program that suits your needs?
We can arrange an alternative date or customize the program specifically for your organization.
We can arrange an alternative date or deliver a customized program for your organization.

