This training focuses on liquidity risk awareness, treasury coordination concepts, funding and cash management practices, regulatory compliance considerations, operational controls.
Overview
Bank Liquidity Management Training is a practical, banking-focused program designed to equip learners with the knowledge required to understand liquidity management concepts, cash flow monitoring workflows, funding strategies, and financial risk management practices within banking and financial services environments. This training focuses on liquidity risk awareness, treasury coordination concepts, funding and cash management practices, regulatory compliance considerations, operational controls, and financial stability management workflows. Participants will gain practical understanding of how banks manage liquidity positions to support operational efficiency, regulatory compliance, and business continuity.
Learning Outcomes
• Understanding of liquidity management and treasury concepts
• Ability to explain cash flow and funding management workflows
• Skills in liquidity monitoring and operational coordination awareness
• Knowledge of compliance and governance practices in treasury operations
• Capability to support banking liquidity and financial stability initiatives
Duration & Delivery Mode
14 hours
Target Audience
• Banking and Financial Services Professionals
• Treasury and Liquidity Management Teams
• Risk Management and Compliance Staff
• Finance and Banking Operations Professionals
• Professionals involved in treasury and balance sheet management
Pre-requisites
• Basic understanding of banking or financial services concepts is helpful
• Familiarity with treasury, finance, or banking operations is an advantage
• No prior liquidity management experience required
• Interest in banking risk and treasury operations recommended
Skillset Achieved
• Understanding liquidity management concepts and banking workflows
• Awareness of cash flow and funding management practices
• Knowledge of treasury coordination and liquidity monitoring concepts
• Understanding liquidity risk and operational control awareness
• Compliance and governance concepts in liquidity operations
• Financial stability and risk mitigation practices
• Best practices for banking liquidity and treasury management
Course Outcome
Upon completion of this training, participants will be able to understand liquidity management workflows and treasury operations within banking environments. They will be capable of supporting liquidity monitoring activities, funding management processes, compliance workflows, and operational risk management initiatives.
Course Outline
Introduction to Bank Liquidity Management
• Overview of liquidity management and treasury operations
• Importance of liquidity in banking environments
• Funding and cash management awareness
• Financial stability and operational resilience concepts
Liquidity Monitoring and Cash Flow Concepts
• Liquidity tracking and operational workflow awareness
• Cash flow management and funding considerations
• Short-term and long-term liquidity planning concepts
• Operational reporting and escalation practices
Liquidity Risk and Funding Management
• Liquidity risk identification and monitoring awareness
• Funding sources and operational coordination concepts
• Asset and liability management considerations
• Risk mitigation and financial stability practices
Case discussions and exercises
Compliance, Governance, and Operational Controls
• Regulatory compliance awareness in liquidity operations
• Governance and operational oversight concepts
• Internal controls and audit readiness workflows
• Operational reporting and financial monitoring practices
Treasury Operations and Process Optimization
• Treasury coordination and liquidity planning awareness
• Process optimization and operational efficiency concepts
• Business continuity and operational resilience practices
• Customer confidence and banking stability considerations
Digital Transformation and Emerging Trends in Liquidity Management
• Data analytics and reporting awareness in treasury operations
• Automation and digital liquidity workflow concepts
• Technology-driven liquidity monitoring practices
• Emerging trends in banking liquidity and treasury management
Case discussions and exercises
Assessment Topics
• Liquidity management and treasury operations concepts
• Cash flow and funding management practices
• Liquidity risk monitoring and mitigation awareness
• Banking compliance and operational governance concepts
• Treasury coordination and operational workflows
• Emerging trends in digital liquidity and treasury management
Evaluation
• Liquidity management assignments
• Treasury and cash flow monitoring exercises
• Compliance and operational workflow activities
• Final liquidity management case study assessment
Course Materials
Participants will receive course materials, slides, reference materials, exercises and access to resources for further learning.
Certification
Participants who successfully complete the training will receive an AcadNXT Certification in Bank Liquidity Management Training, validating their expertise in liquidity management concepts, treasury coordination workflows, cash flow monitoring practices, funding management awareness, and banking financial risk operations.
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What Our Students Say
“The training explained liquidity management and treasury workflows very clearly.”
“Excellent practical introduction to cash flow monitoring and funding management concepts.”
“The course helped me understand liquidity risk and treasury coordination practices effectively.”
“Very practical and industry-focused training for professionals involved in treasury and liquidity operations.”
“This course is ideal for professionals looking to strengthen their understanding of bank liquidity management.”