Nantes, France

Treasury Management

when 2 February 2021 - 16 February 2021
language English
duration 2 weeks
credits 3 EC
fee EUR 1000

Learn to mitigate the risks of global market fluctuations and ensure the stability of future cash flow – two critical objectives for businesses today. Key learnings include the constraints of working capital, the use of basic and advanced derivatives tools, and how to develop a financing plan.

Course leader

2 other modules in Corporate Finance are available in January for 3 ECTS each: "Mergers & acquisitions"and "Financial risk management"
Contact Claire DELHOMME: for more details.

Target group

MBA students with at least 3 years of professional experience post graduation

Fee info

EUR 1000: 1000 euros/module for free movers
EUR 0: No tuition fees for students from partner institutions