Three separate 5 months programs (semester modules) are flexibly designed to offer you specific added value.

The Cash and Treasury Operations semester module starts in February 2024, providing an extensive and detailed overview of international cash management practice, liquidity and working capital management and related fiscal (intercompany) consequences. The semester module also pays extensive attention to the organization of the treasury function in a corporate, the organizational structure of (global) treasury, technology (treasury management systems), and multidisciplinary links with other organizational departments. All the topics in this semester module are interconnected.

Are you curious about the upcoming semester module and the postgraduate program Treasury Management & Corporate Finance? Do you have any questions?

Then join a 45-minute live information session with Q&A from program director Herbert Rijken. Topics include:

  • Program overview, objectives, and session topics
  • How the program will help you broaden your perspectives

Session
Wednesday December 20th 2023, starting 19:00 hrs. ONLINE



More information
For an overview of the program check out our website, access program brochure and watch the video. >

We look forward to welcoming you!

Can’t make it? You can also contact me with any questions about the program.

Myrthe Scholze
Program Coordinator

Phone: 0031 20 5987231
Email: [email protected]

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