Certified Treasury Professional® (CTP)

Lecturer
Mahmoud Sayed
Category
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Course Description

The Certified Treasury Professional® (CTP) designation serves as a benchmark of competency in the finance profession and is recognized as the leading credential in corporate treasury worldwide. Sponsored by the Association for Financial Professionals® (AFP)

CTP value added:

      • Higher salaries
      • Increasing job flexibility and security
      • Improving marketability in the job market compared to other applicants
      • Boosts relevancy. Stay current in the profession with continuing education requirements.

Course content:

Chapter 1: The Role of Treasury Management

      • The Role and Organization of Treasury Management
      • Finance and Treasury Organization
      • Corporate Governance

Chapter 2: Regulatory and Legal Environment

      • General Regulatory Environment
      • Primary Regulators and Standard Setters of International Financial Markets
      • National/Regional Approaches to Legislation and Regulation
      • Tax for Treasury
      • Bankruptcy/Insolvency Laws
      • Trends in Regulation

Chapter 3: Banks and Financial Institutions

      • Financial Institutions: Functions and Services

Chapter 4: Payment Systems

      • Payment Overview
      • Payment Instruments
      • Payment Systems

Chapter 5: Money Markets

      • Money Market Participants
      • Money Market Instruments

Chapter 6: Capital Markets

      • Introduction
      • Structure of the Capital Markets
      • Debt Market
      • Equity Market

Chapter 7: Relationship Management and Financial Service Provider Selection

      • Bank Relationship Management
      • FSP Selection
      • Assessing the Risk of FSPs

Chapter 8: Financial Accounting and Reporting

      • Uses of Financial Statements
      • Accounting Concepts and Standards
      • Financial Statement Reporting
      • Accounting for Derivatives, Hedges, and Foreign Exchange (FX) Translation
      • Accounting for Governmental and Not-For-Profit (G/NFP) Organizations

Chapter 9: Financial Planning and Analysis

      • Time Value of Money
      • Capital Budgeting
      • Budgeting
      • Cost Behavior
      • Financial Statement Analysis

Chapter 10: Introduction to Working Capital Management

      • The Link Between Cash and Working Capital
      • Components of the Capital Cash Conversion Cycle (CCC)
      • How Changes in Current Balance Sheet Accounts Impact External Financing
      • Strategies for Investing In and Financing Working Capital
      • Management of Trade Credit and Accounts Receivable (A/R)
      • Management of Inventory
      • Management of Accounts Payable (A/P)
      • International Working Capital Management Tools

Chapter 11: Working Capital Metrics

      • Fundamental Working Capital Metrics
      • The Cash Conversion Cycle (CCC)
      • Calculations for Trade Credit Decisions
      • Accounts Receivable (A/R) Monitoring

Chapter 12:  Disbursements, Collections, and Concentration

      • Disbursements
      • Collections
      • Concentration of Funds

Chapter 13: Short-Term Investing and Borrowing

      • Managing Short-Term Investments
      • Pricing and Yields on Short-Term Investments
      • Managing Short-Term Borrowing
      • Debt Financing
      • Market Information for Investors and Borrowers
      • Summary

Chapter 14: Cash Flow Forecasting

      • Purpose of Cash Flow Forecasting
      • Types of Forecasts
      • Forecasting Process
      • Forecasting Methods
      • Best Practices for Cash Flow Forecasting

Chapter 15: Technology in Treasury

      • Information Technology for Treasury
      • Treasury Management Systems (TMSs)
      • Project Management
      • Communications and Technology Developments

Chapter 16: Enterprise Risk Management

      • Risk Management
      • Categories of Risk
      • Techniques Used to Measure Risk
      • Managing Insurable Risks
      • Disaster Recovery and Business Continuity

Chapter 17: Financial Risk Management

      • Types of Financial Risk
      • Managing Financial Risk
      • Derivative Instruments as Financial Risk Management Tools
      • Managing Interest Rate Exposure
      • Managing Foreign Exchange (FX) Exposure
      • Managing Commodity Price Exposure
      • Accounting and Tax Implications of Financial Risk Management
      • Hedging Policy Statement
      • Summary

Chapter 18: Treasury Policies and Procedures

      • Overview of Treasury Policies and Procedures
      • Creating a Treasury Policy Document
      • Overview of Key Treasury Policies Policy Development Example: Short Term Investment Policy
      • Overview of Key Treasury Policies
      • Appendix 18.1 – Sample Short-Term Investment Policy

Chapter 19: Long-Term Investments

      • Valuation of Capital Market Securities
      • Managing Capital Market Investments

Chapter 20: The Capital Structure Decision and Management

      • Capital Structure
      • Raising and Managing Long-Term Capital
      • The Weighted Average Cost of Capital (WACC)
      • Lease Financing
      • Equity Financing and Management
      • Miscellaneous Corporate Finance Topics

Training methods:

      • Live online classes
      • Digital training
      • Inhouse training
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