23 - 27 Dec 2024
Kuala Lumpur (Malaysia)
Hotel : Royale Chulan Kuala Lumpur
Cost : 5250 € Euro
Discover How to Turn Your Treasury Department into a Well-Oiled Machine Through Effective Treasury Management Strategies
This course provides you comprehensive coverage of the strategic and operational aspects of Treasury Management including:
Gain a global picture of treasury management
Gain insights from live cases in the market
Gain a holistic understanding of the dealing room operations
Understand how treasury market/products can meet the business needs and manage risks of your business
How to effectively control your interest rate risk and currency exposure
Assess and manage liquidity, financial markets risks, financing, and capital
The role of treasury in financing for various types of markets and branch activities
The role of ALCO, Policies and Procedures and limits
The use of derivatives and structured products to achieve Treasury objectives
Managing internal and external Treasury relationships
Measuring and evaluating Treasury performance
Gapping analysis and strategic decision making
New developments in liquidity management
Practical “hands-on” expertise for that you can immediately implement in your organization
The role of treasury in managing market risk, cash flow and liquidity, accessing debt financing, and capital
Short problems, case studies, and Excel ready exercises so the strategies you learn are re-inforced
Corporate Treasury professionals
Treasury staff from financial institutions
Finance staff
CFOs
Dealers and traders
Treasury back office and operations staff
You should have a basic understanding of financial markets and products.
First Day:
THE TREASURY FUNCTION
Overview of the Treasury Function
Importance of Treasury
The role of the Treasurer
Treasury in the organizational structure
Governance: Policies and Procedures
Role of Audit and Risk Management
ALCO, Limits, and VaR
Cost of Capital
Debt/Equity Ratio
BIS Capital Requirements
Second day
SHORT TERM RATE RISKS
Short Term Interest Rate Instruments
CD’s, CP, T-Bills, Repos, Reverses
Short Term Risk Management
Managing Floating Exposure
Pricing forward interest rates
Futures
Futures Margin Management
FRA’s vs. Futures
Interest Rate Options
OIS Swaps
Exercises and Case Studies: Managing Short Term Rate Risk
Third-Day
MANAGING FOREIGN EXCHANGE RISKS
Spot, Forward and FX Swap Transactions
Pricing Forwards and Money Market arbitrage
Non-deliverable forwards
Currency Options
Counterparty Risks
Transaction Exposure
Translation Exposure
Economic Exposure
Exercises and Case Studies: Managing Customer Transactions
INTEREST RATE RISK AND LIQUIDITY ANALYSIS
Gap Analysis
Types and Uses of Gap Analysis
Rate Shocks
Cost to close
Liquidity Metrics
Simulation Approaches
Exercises and Case Studies: In small groups, you will prepare and interpret a Gap Report
fourth day
MANAGING THE RISKS OF LONG TERM SECURITIES
Fixed Income Markets and Instruments
Understanding yield curves
Analyzing Reinvestment Risk
Macaulay Duration
Modified Duration
Convexity Adjustments
Understanding portfolio duration
Bond Optionality
Exercises and Case Studies: Balance sheet impact of long term securities
USING SWAPS AND RELATED PRODUCTS TO MANAGE RISKS
Swap Pricing
Analyzing Swap Cash flows
Constructing the Discount Function
Hedging with Swaps
Swaps and the Capital Markets
Basis Swaps
Exercises and Case Studies: Swaps Case Study
Fifth day
TREASURY PERFORMANCE AND REGULATORY ENVIRONMENT
BIS Liquidity recommendations
Treasury as Profit Center
Transfer Pricing
Pricing Bank facilities
Group Work with Exercises and Case Studies:
Eurodollar Futures and Gaps
Caps and Floors
New Issue Financing
Cross Currency Swaps