Partner
Exam Preparation

CTP
خبير خزينة معتمد

التقييم:
4.8
الإنجليزي
متوسط
Video preview
وجهاً لوجه
التدريب في الموقع
تدريب مباشر عن بعد
تدريب
التدريب
والإرشاد
السرعة الذاتية
تدريب
اختر تاريخ
لتحميل الكتيب

نبذة عن الدورة التدريبية

The Certified Treasury Professional (CTP) is the premier certification for finance professionals worldwide who aspire for excellence within the banking, finance, investment, and treasury areas. The CTP exam is sponsored by the Association for Financial Professionals (AFP), and it is designed to test mastery of knowledge and skills required by treasury professionals to execute critical functions related to corporate liquidity, capital and risk management. Upon completion of this course, students will have the requisite knowledge needed to navigate and successfully complete the CTP examination, and be better prepared for increasing responsibilities and roles within finance and treasury management.
Samah H.
Senior Specialist - Program Enrollment

المخرجات الرئيسية

1
Have a firm foundation in the areas of treasury management, risk management, and investment management
2
Obtain the knowledge needed to successfully navigate and pass the Certified Treasury Professional (CTP) examination
3
Apply best practices in treasury management that will serve as a foundation for future growth and advancement within the finance profession
4
Create value in organizations through more efficient and effective application of treasury principles and best practices

Association for Financial Professionals
Brand Logo
The Association for Financial Professionals (AFP) serves a network of more than 16,000 treasury and finance professionals. Headquartered in Bethesda, MD, AFP provides members with breaking news, economic research and data on the evolving world of treasury and finance, as well as world-class treasury certification programs, networking events, financial analytical tools, training, and public policy representation to legislators and regulators. AFP is the daily resource for treasury and finance professionals. AFP’s global reach extends to over 150,000 treasury and financial professionals worldwide, including AFP of Canada, London-based gtnews, an on-line resource for the treasury and finance community, and bobsguide, a financial IT solutions network. The Committee on Investment of Employee Benefit Assets (CIEBA), an AFP affiliate, represents more than 110 of the largest corporate pension funds in the U.S. with over $1.5 trillion in retirement plan assets

محتوى الدورة التدريبية

DAY 1
Part I – Introduction to Treasury Management
Chapter 1: The Role of Treasury Management
→ Introduction
→ The Role and Organization of Treasury Management
→ Finance and Treasury Organization
→ Corporate Governance
Part II – The Treasury Management Environment
Chapter 2: Legal, Regulatory, and Tax Environment
→ General Regulatory Environment
→ Financial Regulatory Regime
→ National/Regional Approaches to Legislation and Regulation
→ Tax Considerations for Treasury
→ Bankruptcy/Insolvency Laws
→ Trends in Regulation
Chapter 3: Banks and Financial Institutions
→ Financial Institutions: Functions and Services (Banks and Non-Banks)
Chapter 4: Payment Instruments and Systems
→ Payment Overview
→ Payment Instruments
→ Payments Systems
Chapter 5: Money Markets
→ Money Market Participants
→ Money Market Instruments
DAY 2
Part II – The Treasury Management Environment (Cont’d)
Chapter 6: Capital Markets
→ Structure of the Capital Markets
→ Debt Markets
→ Equity Market
Chapter 7: Relationship Management and Financial Service Provider (FSP) Selection
→ Bank Relationship Management
→ FSP Selection
→ Assessing the Risks of FSPs
Part III – Financial Reporting and Analysis
Chapter 8: Financial Reporting and Analysis
→ Uses of Financial Statements
→ Accounting Concepts and Standards
→ Financial Statement Reporting
→ Accounting for Derivatives, Hedges, and Foreign Exchange
→ Accounting for Governmental and Not-ForProfit (G/NFP) Organizations
Chapter 9: Financial Planning and Analysis
→ Time Value of Money
→ Capital Budgeting
→ Budgeting
→ Cost Behavior
→ Financial Statement Analysis
DAY 3
Part IV – Working Capital Management
Chapter 10: Introduction to Working Capital
→ The Link between Cash and Working Capital
→ Components of the Cash Conversion Cycle (CCC)
→ How Changes in Current Balance Sheet Accounts Impact External Financing
→ Strategies for Investing and Financing Working Capital
→ Management of Trade Credit and Accounts Receivable (A/R)
→ Management of Inventory
→ Management of Accounts Payable
→ 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 of Short-Term Investments
→ Managing Short-Term Borrowing
→ Debt Financing
→ Market Information for Investors and Borrowers
DAY 4
Part IV – Working Capital Management (Cont’d)
Chapter 14: Cash Flow Forecasting
→ Purpose of Cash Flow Forecasting
→ Types of Forecasts
→ Forecasting Process
→ Forecasting Methods
→ Best Practices in Cash Flow Forecasting
Chapter 15: Technology in Treasury
→ Information Technology for Treasury
→ Treasury Management Systems (TMSs)
→ Project Management
→ Communication and Technology Developments
Part V – Risk Management
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
DAY 5
Part V – Risk Management (Cont’d)
Chapter 17: Financial Risk Management (Cont’d)
→ Managing Foreign Rate Exposure
→ Managing Commodity Price Exposure
→ Accounting and Tax Implications of Financial Risk Management
→ Hedging Policy Statement
Chapter 18: Treasury Policies and Procedures
→ Overview of Treasury Policies and Procedures
→ Creating a Treasury Policy Document
→ Overview of Key Treasury Policies
Part VI – Financial Management
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 Long-Term Capital
→ Managing Long-Term Capital
→ Alternative Financing

على من يجب الحضور؟

This highly practical and interactive course has been specifically designed for
Senior Treasury Analysts, Treasury Managers, Cash Managers, Directors, and other professionals with responsibilities in finance, treasury, and risk management. This course is also excellent for senior leaders who desire a firm foundation in treasury and its role in supporting business objectives.

الدورات ذات الصلة

أسئلة شائعة

ما هي لغة التدريس في الدورات التدريبية؟ وما هو مستوى اللغة الإنجليزية المطلوب للمشاركة في برامج ليورون؟
تُقدَّم معظم الدورات العامة لدينا باللغة الإنجليزية. لذا، يُشترط في المشاركين أن يكونوا متمكّنين من اللغة الإنجليزية لضمان المشاركة الفعالة في ورش العمل والتفاعل مع باقي المشاركين. أما بالنسبة للدورات الداخلية (In-house)، فلدينا القدرة على تقديم التدريب باللغات العربية والهولندية والألمانية والبرتغالية.
هل الدورات العامة التي تقدّمها ليورون معتمدة من أيّ جهة رسمية؟
يتعاون معهد ليورون مع أكثر من 20 جهة ومنظمة دولية، كما يمنح ساعات التطوير المهني المستمر (CPE/PDUs) من خلال الهيئات التالية: 1. الرابطة الوطنية لمجالس المحاسبة في الولايات المتحدة (NASBA) 2. وحدات PDUs لمعهد إدارة المشاريع 3. اعتمادات المعهد البريطاني للأوراق المالية والاستثمار (CISI) 4. اعتمادات الرابطة العالمية لمدراء المخاطر (GARP) 5. اعتمادات إعادة التصديق من المعهد الأمريكي للموارد البشرية (HRCI) 6. اعتمادات إعادة التصديق من منظمة SHRM.
ما هو الموعد النهائي للتسجيل في الدورات العامة؟
الموعد النهائي للتسجيل في الدورات العامة هو 14 يوماً قبل بدء الدورة. يرجى ملاحظة أنه في بعض الحالات، قد يتم قبول التسجيلات المتأخرة، ولكن ذلك يتطلب موافقة مدير المشروع التدريبي، أو مكتب التسجيل الذي يمكن التواصل معه عبر رقم الهاتف +1071 4 1075 5711 أو البريد الإلكتروني [email protected].
ما الذي تشمله رسوم الدورة؟
تشمل رسوم الدورة تجربة تدريبية متميزة في فندق 5 نجوم، والمواد التعليمية، ووجبات الغداء والمرطبات، بالإضافة إلى رسوم الشهادات والانضمام إلى الهيئات المعتمدة في بعض الدورات.
هل تقدّم ليورون خصومات؟
نعم، يمكننا تقديم خصومات على الحجوزات الجماعية، ويسعدنا التحدث معك إذا كنت ترغب في مناقشة الحصول على خصم على مستوى الشركات.

التعليقات

  • عرض:
    CTP Certified Treasury Professional
    I have had the opportunity to work with Michael on several occasions. Michaels experience proved invaluable each time. His deep understanding of business models, financing options, cash flow, and tax issues is a valuable asset to any company. Importantly, Michael can be relied upon to provide sound advice regarding ownership structures for companies. Michael became much more than a financial advisor and worked well with management at each entity. An organization seeking senior level finance and accounting leadership will find it with Michael. -Pharmacy Development Services
    Chuck Schneider
    Vice President Business Development
  • عرض:
    CTP Certified Treasury Professional
    It was really inimitable experience for me while attending CTP training session. A very well organized event from LEORON. Being in Banking industry I was very meticulous about the Treasury function but CTP training session has really given me the true concepts of Treasury function not only in banking industry but in any organization. Full credit goes to trainer, the way he has explained the material. I would recommend CTP trainings to all financial professionals who wants to understand the in and out of Treasury Function in any banking or non banking organization.
    Sajid Iqbal
    RBS Markets & International Banking