The St. Regis Singapore, 29 Tanglin Road, Singapore 247911
23 January 2018, 9:00AM - 5:00PM, SGTRegister
The changing role of treasury has captured the attention of the corporate C-Suite and the banks that serve them. More is expected of a treasury professional as the treasury function moves from a tactical to strategic role.
As organisations globalise, managing cash flows and liquidity across borders and currency has become increasingly more complicated due to changes in the regulatory environment and the evolution of banking cash and liquidity management solutions.
This advanced level liquidity and cash management course covers the key concepts of cash and liquidity management from a local, regional and global perspective. It also touches on the banking products that support the corporate’s liquidity and cash management objectives.
Join us at our upcoming course to gain relevant insights in advanced liquidity & cash management.
Please click here for the detailed course outline.
Partners and Directors from KPMG who have extensive experience in liquidity & cash management banking products.
Who should attend
KPMG Client / Alumni:
Register by 9 Jan 2018: $580 per participant
Register after 9 Jan 2018: $650 per participant
Register by 9 Jan 2018: $650 per participant
Register after 9 Jan 2018: $720 per participant
*The fee is inclusive of GST at the prevailing rate, course materials, lunch and refreshments.
10% discount applies to three or more participants from the same organisation registering for the course.
To register online, please click here.