Strategic Treasury and Liquidity Management in Dubai

Next start 28 Jun 2027 · 1 date in Dubai · 5 days · 20 CPD hours · from £4,500

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Strategic Treasury and Liquidity Management runs in Dubai on 1 date, starting 28 Jun 2027. Cash forecasting, working capital and risk controls — treasury skills built for volatile financial markets. £4,500 per delegate in Dubai, exc VAT.

  • 28 Jun 2027 next start
  • 1 date in Dubai
  • 5 days in person
  • 20 CPD hours
  • £4,500 per delegate

Register for 28 Jun 2027

Dubai dates & prices

DatesVenueDurationPrice
28 Jun - 02 Jul 2027Dubai5 days£4,500Register

About the course

Effective treasury and liquidity management is critical to the financial health, stability, and resilience of any organisation. As financial markets grow more complex and volatile, professionals must be equipped to manage cash flows, optimise liquidity, mitigate risk, and ensure sufficient funding for operations and growth.

The "Strategic Treasury and Liquidity Management" training course is designed to provide finance and treasury professionals with practical tools and strategies for managing corporate liquidity, cash positioning, banking relationships, and financial risk. The course covers key areas such as cash forecasting, working capital optimisation, treasury controls, and the use of technology in modern treasury operations.

Ideal for treasury officers, finance managers, accountants, and professionals responsible for financial planning and risk, this course builds the knowledge and confidence needed to ensure sound liquidity management and enhance strategic financial decision-making.

What you will learn

  • Understand the core functions of treasury and liquidity management
  • Learn how to monitor and optimise cash flow and working capital
  • Develop effective cash forecasting and liquidity planning techniques
  • Manage banking relationships and treasury operations efficiently
  • Identify and mitigate financial and liquidity-related risks
  • Use treasury tools and systems to support strategic decision-making

Full day-by-day outline, accreditations and who should attend →

Accredited by CPD, ISO 9001:2015.

Frequently asked questions

When does Strategic Treasury and Liquidity Management next run in Dubai?

The next Dubai start is 28 Jun 2027 (28 Jun - 02 Jul 2027); 1 date is scheduled in Dubai.

Where in Dubai is the course held?

At a central Dubai business venue; the address and joining instructions are confirmed on your booking.

How much does Strategic Treasury and Liquidity Management cost in Dubai?

£4,500 per delegate, including tuition, materials and your CPD certificate (20 CPD hours). UK VAT applies only to UK-billed bookings. Pay online by card, Apple Pay, Google Pay or PayPal, or request an invoice.

Can I book Strategic Treasury and Liquidity Management in Dubai for a group?

Yes: register 3 delegates on the same date and pay for 2, or ask for a group quote. We also run this course in-house at your offices in Dubai or a venue of your choice.

Strategic Treasury and Liquidity Management in other cities

Training a team in Dubai?

Register 3 delegates and pay for 2, or have Strategic Treasury and Liquidity Management delivered in-house at your offices.

Get a group quote
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