Advanced EMBA Program Specialization
Executive MBA Course in Treasury Management
Treasury management ensures that a company can manage financial risk successfully by the creation and governance of policies and procedures related to smooth cash flow. EMBA course helps the students to understand the corporate handling of all financial matters including the methods to generate external and internal funds for business and the complex strategies, policies, and procedures of corporate finance. Treasury management serves many key objectives for the organization which can be summarized as planning, organizing and controlling cash assets to satisfy the financial objectives of the organization. Executive MBA course in treasury management provides the individuals with the in-depth knowledge of fluctuating exchange rates and interest rates involved in money and commodity markets and the prices which can affect the profitability of any organization and make them aware with steps which they can take to mitigate these risks while ensuring profitability and liquidity to the organization. The other aspects of this course are the following:
- Being the treasurer of any organization an individual need to minimize risks losses by adopting risk transfer and hedging techniques along with maintaining the cordial relationship with the banks to ensure regular cash flow to the organization.
- The individuals active in the field of treasury management should be able to organize the finance function and will be responsible for the various accounting and financial activities of the firm.
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