World-Class Cash & Treasury Management

Corporate treasury has never been more critical—or more complex. In an environment defined by heightened volatility, tightening liquidity, refinancing risk, regulatory pressure, and geopolitical uncertainty, the ability to control cash, optimize liquidity, and protect the balance sheet has become a decisive factor in corporate resilience and value creation. Traditional treasury skills alone are no longer sufficient. Today’s finance professionals must master advanced cash visibility, funding strategies, risk management, and technology-enabled decision-making to safeguard the organization and support its strategic objectives. This Masterclass addresses these challenges head-on, equipping participants with the tools and frameworks needed to operate confidently in today’s demanding treasury landscape.

Beyond its core mandate, treasury is increasingly expected to act as a strategic business partner across the organization—supporting growth, enabling transactions, advising on risk, and contributing directly to financial strategy. This intensive 5-day interactive Masterclass is designed for corporate treasurers, cash managers, CFOs, finance leaders, and commercial bankers who need to understand both sides of the treasury equation. Participants gain practical, best-practice insights into world-class treasury operating models, liquidity and working capital optimization, funding structures, and enterprise financial risk management, while also developing a deeper understanding of how treasury collaborates with internal stakeholders and banking partners to deliver measurable value.

What sets this Masterclass apart is its strong practical focus. Through real-world case studies, group exercises, interactive discussions, and worked examples, participants learn how to apply best-practice tools and techniques across all areas of treasury—from cash and liquidity management to technology, ESG considerations, cyber risk, and real-time payments. Delegates leave with actionable methods to improve cash visibility and forecasting accuracy, optimize working capital and balance sheet efficiency, reduce financial and operational risk, and elevate treasury’s strategic contribution to the organization. For professionals committed to building or transforming a truly world-class treasury function, this Masterclass is simply unmissable.

Top Learning Objectives

  • Strategic Architecture : Define the value-add of a modern treasury function and distinguish between policy-making, organizational structure, and operational execution.
  • Liquidity & Cash Optimization: Master advanced cash pooling, in-house banking (IHB), and multi-currency concentration to maximize internal liquidity.
  • Financial Risk Mitigation: Evaluate and deploy financial instruments (Forwards, Swaps, Options) to hedge against FX volatility, interest rate fluctuations, and counterparty risks.
  • Banking Ecosystem Management: Analyze how banks evaluate corporate credit to optimize lending terms and leverage new payment technologies (Fintech, AI, and APIs).
  • Working Capital Mastery: Benchmark working capital ratios and implement strategies to optimize the “Cash Conversion Cycle” without disrupting supply chain stability.

Who Should Attend?

CFOs, MDs, Treasurers, Assistant Treasurers, Directors of Treasury, VP Finance, Directors, Bankers and Senior Managers responsible for:

  • Corporate Treasury
  • Cash Management/Liquidity Management
  • Foreign Exchange/Interest Rate Risk
  • Risk Management/Group Risk Management
  • Asset Liability Management
  • Working Capital Management
  • Bank Product Development
  • Bank Marketing
  • Bank Sales of Treasury products
  • Investment/Debt
  • Internal Audit, Finance and Accounting
  • Corporate Planning / Internal Controls / Regulatory & Compliance

Trainer's Background

  • A Strategic Treasury Leader, M&A Integration Specialist, and Financial Educator with over a decade of experience managing complex treasury operations and multi-billion-euro asset portfolios across Europe’s leading financial centers, including London, Paris, Munich, and Luxembourg.
  • He has held senior roles with globally recognized institutions such as SES Satellites, ALPS ALPINE, and CACEIS, where he led treasury integration for major M&A transactions, optimized global liquidity structures, and managed investment and cash portfolios of up to €20 billion.
  • Renowned for bridging technical accounting, advanced treasury systems, and strategic corporate finance, Frederik brings deep expertise in funding strategies, risk management, cross-border compliance, and ERP/TMS implementation.
  • An accomplished educator, he combines real-world execution with academic excellence, holding an MBA from INSEEC/Sorbonne and a Master’s from EM Lyon, and pursuing advanced legal studies at Paris Sorbonne—making his training both highly practical and strategically insightful.

EVENT SCHEDULE

Face to Face Masterclass
Date: 20-22 April 2026
Time: 8:30 AM – 4:30 PM
Location: Abidjan, Ivory Coast

Combine this training with
2 Day Advanced Corporate Finance

View Details

This Course will be conducted in French

View in French language