Corporate Treasury and Cash Management
A senior-level treasury course delivered in London, Geneva, Dubai and other international locations.
Corporate Treasury and Cash Management is a 5-day senior-level treasury course delivered by Mars Training Centre UK in the world's treasury hubs — London, Geneva, Dubai, Doha and Tokyo — designed for group treasurers, assistant treasurers, finance directors, and senior banking relationship managers responsible for liquidity, funding, and financial risk in a corporate context.
Corporate treasury sits at the intersection of cash, banking, debt markets, and risk. The function has grown more demanding: interest rates have re-priced after a decade of compression, banking relationships have consolidated, sanctions and payments controls have tightened, and the boundary between treasury and risk management has effectively dissolved. The leaders who run treasury well give their organisations resilience under conditions that punish the unprepared.
Across five focused days, you will work through cash management, banking architecture, short- and long-term funding, FX and interest-rate risk, and the governance that surrounds treasury operations. The cases are drawn from corporate treasurers operating across the United Kingdom, Europe, and the Middle East, and the work is delivered by senior practitioners with treasury and banking experience.
What You Will Learn
- Design and run a corporate cash management structure across multiple entities.
- Build an effective banking architecture and rationalise account structures.
- Forecast cash at short, medium, and long horizons with discipline.
- Evaluate short-term and long-term funding instruments and their use cases.
- Manage foreign exchange exposure using clear hedging policies.
- Manage interest-rate exposure on a debt portfolio.
- Apply liquidity risk frameworks to a group treasury setting.
- Govern treasury operations through clear policy, mandates, and controls.
- Lead banking relationships with senior credit and product partners.
- Communicate treasury performance and risk to boards and audit committees.
How You Will Benefit
You will leave with a sharper treasury toolkit and a Mars Certificate of Completion.
Your organisation will gain a senior treasury leader who manages cash more efficiently, controls financial risk more deliberately, runs cleaner banking relationships, and brings stronger judgement to funding and hedging decisions.
Who This Programme Is For
This programme is designed for senior professionals in treasury and corporate finance, including:
- Group Treasurers and Assistant Treasurers
- Treasury Managers and Cash Managers
- Finance Directors with treasury responsibility
- Senior Banking Relationship Managers
- Heads of Liquidity and Funding
- Internal auditors covering treasury
- Senior public-sector cash and debt managers
The seniority floor is senior manager and above. The programme is delivered in person over five consecutive days, with a Mars Certificate of Completion awarded on the final day.
All dates and locations
Compare dates and destinations, then choose your session. Fees are per participant.
- Scheduled dates
- 46
- Destinations
- 29
- Next session
- 28 Sep - 02 Oct 2026
- Fees from
- £1,500
| Location | Dates | Duration | Mode | Price | Actions |
|---|---|---|---|---|---|
| Madrid | 28 Sep - 02 Oct 2026 | 5 Days | Onsite | £5,700 | |
| Dubai | 05 - 09 Oct 2026 | 5 Days | Onsite | £4,500 | |
| Manama | 11 - 15 Oct 2026 | 5 Days | Onsite | £4,700 | |
| London | 26 - 30 Oct 2026 | 5 Days | Onsite | £5,700 | |
| Rome | 02 - 06 Nov 2026 | 5 Days | Onsite | £5,700 | |
| Barcelona | 16 - 20 Nov 2026 | 5 Days | Onsite | £5,700 | |
| Seoul | 23 - 27 Nov 2026 | 5 Days | Onsite | £10,000 | |
| Dubai | 30 Nov - 04 Dec 2026 | 5 Days | Onsite | £4,500 | |
| Milan | 30 Nov - 04 Dec 2026 | 5 Days | Onsite | £5,700 | |
| Vienna | 07 - 11 Dec 2026 | 5 Days | Onsite | £5,700 | |
| Paris | 14 - 18 Dec 2026 | 5 Days | Onsite | £5,700 | |
| Kuala Lumpur | 28 Dec 2026 - 01 Jan 2027 | 5 Days | Onsite | £5,200 | |
| Doha | 03 - 07 Jan 2027 | 5 Days | Onsite | £5,500 | |
| Istanbul | 18 - 22 Jan 2027 | 5 Days | Onsite | £4,500 | |
| Athens | 31 Jan - 04 Feb 2027 | 5 Days | Onsite | £6,700 | |
| Prague | 07 - 11 Feb 2027 | 5 Days | Onsite | £6,000 | |
| Vienna | 15 - 19 Feb 2027 | 5 Days | Onsite | £5,700 | |
| London | 15 - 19 Mar 2027 | 5 Days | Onsite | £5,700 | |
| Kuwait | 21 - 25 Mar 2027 | 5 Days | Onsite | £5,500 | |
| Istanbul | 29 Mar - 02 Apr 2027 | 5 Days | Onsite | £4,500 |
| Location | Dates | Duration | Mode | Price | Actions |
|---|
No events found
Frequently asked questions
What does this course cover?
Corporate Treasury and Cash Management is a 5-day senior-level treasury course delivered by Mars Training Centre UK in the world's treasury hubs — London, Geneva, Dubai, Doha and Tokyo — designed for group treasurers, assistant treasurers, finance directors, and senior banking relationship managers responsible for liquidity, funding, and financial risk in…
Are training dates available?
Yes. Available dates and destinations are listed in the course dates section on this page.
How can I register?
Choose an available date on this page and complete the registration form, or send a programme enquiry.
Can I download the course brochure?
Yes. Use the brochure download link provided on this page.