Improve Liquidity Management, Cash Forecasting & Mitigate Risk | e-book FIS
17-08-2023 | Treasurers can use digital treasury management solutions to improve liquidity management and cash forecasting, and mitigate risk.
17-08-2023 | Treasurers can use digital treasury management solutions to improve liquidity management and cash forecasting, and mitigate risk.
09-08-2023 | A new program starts in October. Find out more!
07-08-2023 | Are you interested in learning more about corporate risk management?
03-08-2023 | Treasurers’ Guide to Navigating 2023 and beyond
27-07-2023 | The results are in, so find out what is considered the key strategy!
25-07-2023 | The VU made an announcement regarding the program Treasury Management & Corporate Finance.
05-07-2023 | Recently we delved into a poll to gain further understanding of how far ahead treasurers do forecast. Are you a master of short-term planning, or do you have your eye on the future? The results are in, find out how you compare with your peers and learn from Conor Deegan of CashAnaltyics what can be learned from this.
26-06-2023 | Treasury is the management of cash flows within organisations. In this blog, we will take a look at the top 4 questions and answers about Treasury
01-06-2023 | treasuryXL and Nomentia recently discussed the issue of underutilisation of useful trade finance tools by corporate treasury departments in-depth during the recent live session “Trade Finance Trends: Innovations and Disruptions”.
23-05-2023 | The program is has a new modular setup. The program is split in 3 independent semester modules, which can be taken separately. This modular setup allows for flexibility. Each semester module takes 5 months.