This program provides participants with a comprehensive understanding of treasury products, interest rate structures, and the dynamic relationship between a bank’s assets and liabilities. It also covers associated pricing mechanisms, strategies for revenue enhancement, and risk management practices. By the end of the course, participants will gain a clear understanding of the strategic role of the treasury function within a bank.
Upcoming Events
25 Hours, Class ID: 30431, English, In-Class, Special Program
November 21, 2026
Trade Finance Risk Management and Supply Chain Finance
Nasr City Headquarters
16 Hours, Class ID: 30376, English, In-Class, Special Program
November 22, 2026
Agile Auditing
Nasr City Headquarters
16 Hours, Class ID: 30428, English, In-Class, Special Program
November 22, 2026
Carbon Border Adjustment Mechanism (CBAM)
Nasr City Headquarters
14 Hours, Class ID: 30492, English, Planned Program, Virtual
November 22, 2026
Introduction to Credit Risk
Virtual
16 Hours, Class ID: 30256, English, In-Class, Planned Program
November 22, 2026
Microsoft Excel® - Level III
Mohandessin Premises

