Treasury Products

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Instructor Name

Mona AlQassab

Start Date

05/01/2026

End Date

09/01/2026

Category

Finance & Accounting

Country

Doha

Course Overview

This in-depth program explores the full range of treasury products offered by financial institutions, including money markets, FX, derivatives, and structured products. Participants will learn how these instruments are structured, priced, and used by corporates and banks for risk management and liquidity planning.

Course Objectives

By the end of this course, participants will be able to:
– Understand the core treasury functions within a bank or corporation.
– Navigate key products in money markets, FX, and interest rate derivatives.
– Manage cash, liquidity, and short-term funding using treasury tools.
– Assess the pricing and structuring of treasury instruments.
– Align treasury operations with enterprise risk and policy objectives.

Course Outline

1- Treasury Operations and Market Overview
2- Money Market and Liquidity Instruments
3- FX and Interest Rate Products
4- Derivatives for Hedging and Trading
5- Treasury Product Pricing and Risk Integration

Target Audience

Treasury professionals, corporate finance managers, bankers, and liquidity risk officers involved in treasury product design, sales, or usage.

Methodology

Interactive lectures, product pricing simulations, treasury use-case walkthroughs, and risk case studies.

Conclusion

Participants will leave with a solid understanding of treasury product mechanics and how to apply them strategically in banking and corporate finance environments.

Daily Agenda

1 Day

Overview of Treasury Function

2 Day

Money Market Instruments

3 Day

Foreign Exchange and Interest Rate Products

4 Day

Derivative Applications in Treasury

5 Day

Pricing and Risk Management