Registration
In order to be accepted to this certified path it will be asked to complete the application form below.
This course will start late September 2020 and will end with a final exam in February 2021. It includes 13 training modules and 5 intermediary exams. It is necessary to complete this form before your official registration. Registration will be closed early September 2020 .
Description
The treasurer is the custodian of the company's daily liquidity. He manages, anticipates and secures cash flows by ensuring that financial needs are covered.
This cursus will give the ability to assist directly and practically the treasurer of large corporates or to take over the treasury responsibilities in a SME.
The various modules will allow acquiring an in-depth knowledge of the various areas of the "Corporate Treasure" profession.
Objectives
At the end of this programme, the participant will able to:
assist directly and practically the treasurer of large corporates
take over treasury responsibilities in a SME.
The various modules will allow to acquire an in-depth knowledge of the various areas of the “Corporate Treasurer” profession.
Programme
Module 0: Introduction to Treasury Management
Speaker: Benjamin Defays / Treasury Manager
Corporate Treasurer’s responsibilities
Cash management (bank account opening, closing, KYC, Cash pooling, Payments and bank connectivity)
Liquidity management (importance of working capital management,
Risk management (foreign exchange, fraud, credit risk)
Trade finance (general context, intro to bank guarantees and letters of credit)
Module 1: Financial Maths (Focus on treasury & corporate finance)
Speaker: Hugues Pirotte / Professor of Finance at Solvay Brussels School
Focus on treasury & corporate finance
Time Value of Money
Vocabulary
Compounding intervals
Discount and annuity factors
Module 2: Advanced Excel workshop for treasurers (Dedicated to treasury)
Speaker: Hugues Pirotte / Professor of Finance at Solvay Brussels School
Module 3: Corporate Finance
Speaker: Mikael Pereira / Portfolio and Valuation Manager
Valuations
M&A’s
Portfolios
Corporate Financing
Corporate Investments
Module 4: Cash Management (domestic and international)
Speaker François De Witte / Consultant
Payments (Process, Tools)
Liquidity Management
Cash-Flow Forecasting
In-House Banking
Banking Relationship
Module 5: Trade Finance
Speaker: Benjamin Defays / Treasury Manager
General contact, cultural aspects
Why trade finance in treasury
Bank Guarantees, Burgschafts, Surety Bonds, Letters of Credit, Cash against Documents
Alterative security instruments
Disruptive technologies
Module 6: Credit Control
Speaker: Anca Vasiliu / Counterparty Risk Manager
Concepts & Practices/Types of Credit Risks
Understanding Financial Statements and Ratios
Credit Scoring/Ratings – S&P, Bloomberg models
Collecting overdue receivables – setting priorities
Strategies dealing with overdue invoices
Debt collection services development
Module 7: Pension / Insurance
General introduction on insurances and pensions
Typology of insurances
Risk management via insurances
Saving via insurances
Module 8: Compliance
Speaker: Lievin Tshikali
KYC, GDPR, EMIR, Bale III
International sanctions and their impact on transactions & overall business activities
Anticorruption (FCPA, UK Bribery Act)
EU competition law compliance
INCOTERMS
Drafting a contract (main considerations)
Module 9: Risk Management
Speaker: François Masquelier / Group Treasurer
FX, Interests
Counterparties
Others (Reputation, etc…)
Module 10: Treasury Accounting
Speaker: Quentin Bodart / Senior Finance Engineer
- Objectives of Hedge Accounting
- Required documentation and formalisation of Hedge Accounting relationships
- Different types of hedges (Fair Value, Cash Flow, Net Investment)
- Booking adjustments of different hedge types
- Typical examples of different hedge types
Module 11: Technologies
Speaker: François Masquelier/ Group Treasurer
New Technologies
Blockchain, Crypto-currencies, Smart Contracts
Treasury Console (Bloomberg, Thomson Reuters)
TMS, Fintechs
Module 12: Cyber Fraud
Speaker: Thierry Hamon / Cash management & security expert
Why Cyber fraud needs to be considered as a major risk
Identify the consequences of a cyberattack
Main fraud schemes
How to protect against fraud
Some homework might be proposed for some modules, there will be continuous control in the form of intermediary exams (under the form of QCM) and a final exam will be sanctioned by an attestation delivered by ATEL (The Luxembourg Association of Corporate Treasurers).
There might also be one or two “extra-activity”, such as a visit in a bank trading room or/and a special guest speaker addressing the cursus participants on a specific subject (still to be defined, optional events).
Target Audience
Anyone willing to acquire an in-depth knowledge in corporate treasury and wishing to exercise this knowledge in practice.
Prerequisites
Basic background in finance or accounting
For the Advanced Excel workshop, a preliminary (good) knowledge in Excel is required
Course Material
The course material can be downloaded free of charge via your portal the day before the start of the course (download the Client Portal User’s Guide here).
Certificate
At the end of the programme, the participants will receive a “Certificate of Attendance” delivered by the House of Training, and an attestation of “Exam Success Pass” delivered by ATEL.
In order to get certified, an 80% rate of attendance and a 60% average score on the examinations are required.
The participants will also receive a one-year free membership to ATEL (www.atel.lu) giving a number of advantages.
Registration
In order to be accepted to this certified path it will be asked to complete the application form below.
This course will start on January 23th 2020 and will end with a final exam in June 2020. It includes 13 training modules and 5 intermediary exams. It is necessary to complete this form before your official registration. Registration will be closed on January 6th 2020 .
Lieu
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Chambre de Commerce Luxembourg7, rue Alcide de Gasperi
L-1615 Luxembourg
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