Introduction to Public Sector Treasury Management 2019

31-01-2019

Treasury management is one of the most challenging and exciting disciplines within public sector financial management. This specialist area can often appear daunting due to the technicalities and size of the resources involved. This special one-day event was designed to help gain an understanding of the core themes of treasury and capital finance and covered:

  • the current regulatory environment 
  • interest rates and the importance of economic forecasting
  • cash flow Management and the practicalities of dealing
  • investment strategies and debt management
  • understanding your treasury management strategy  
  • and a senior finance professionals personal take on the life of a treasury manager during the austerity years and the challenges ahead.

Delivered by a line-up of expert practitioners, this event was of interest to staff at all levels particularly those that are new to treasury or those seeking a refresher course focused upon best practice. 

The presentation slides are now available to download below:

The-Regulatory-Framework-Neil-Sellstrom--Handout

PDF 431 KB

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Economic-Essentials-James-Athey-Handout

PDF 307 KB

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Cash-Flow-Management-Roy-Nolan-Handout

PDF 326 KB

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Understanding-your-TM-Strategy-Tim-Seagrave-Handout

PDF 323 KB

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Treasury-Management-in-Perspective-Danny-Mather-Handout

PDF 212 KB

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Risk-Management--Jackie-Shute-Handout

PDF 1394 KB

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CIPFA is currently closed, webchat will be available from 03/01/24 from 09:00 - 17:00.