In today’s fast-evolving financial landscape, organisations must adhere to International Financial Reporting Standards (IFRS) while effectively managing risks in their treasury functions. The 10-Day International Financial Reporting & Treasury Risk Management course, offered by Dubai Premier Centre (DPC), provides a comprehensive framework for mastering financial reporting principles and risk management strategies in a global context.
This programme is designed to equip professionals with an in-depth understanding of financial reporting training, treasury operations, and risk mitigation techniques. Participants will explore essential topics such as IFRS training, financial disclosures, liquidity risk, and regulatory compliance. The course integrates theoretical knowledge with practical case studies to enhance decision-making skills, ensuring that attendees can navigate complex financial environments with confidence.
By completing this training, professionals will not only enhance their expertise in treasury risk management but also gain a competitive edge in corporate finance, securing a pathway towards risk management certification and financial reporting certification.
Objectives and Target Group
- Develop a thorough understanding of International Financial Reporting Standards (IFRS) and their application in financial statements.
- Strengthen expertise in treasury risk management, including identifying, analysing, and mitigating financial risks.
- Equip participants with the necessary skills to prepare high-quality financial statements in compliance with global reporting frameworks.
- Enhance knowledge of financial instruments, hedging strategies, and regulatory compliance within treasury functions.
- Provide hands-on experience with financial reporting certification standards to improve financial transparency and corporate governance.
Target Audience
- Finance professionals, accountants, auditors, and financial analysts looking to deepen their expertise in financial management courses.
- Treasury managers, risk officers, and corporate finance executives seeking advanced knowledge in treasury management courses.
- Professionals aiming for risk management certification or treasury risk management certification to enhance their credentials.
- Business leaders, financial consultants, and CFOs responsible for financial decision-making and regulatory compliance.
- Individuals seeking to develop a structured approach to IFRS training and integrate financial risk strategies into business operations.
Course Content
Foundations of International Financial Reporting Standards (IFRS)
- Overview of International Financial Reporting Standards (IFRS) and their global impact.
- Key principles of financial reporting training, including recognition, measurement, and disclosure requirements.
- IFRS updates and their implications for corporate financial reporting.
Financial Statement Preparation and Analysis
- Structuring financial statements to comply with IFRS guidelines.
- Understanding financial disclosures and their significance in transparency and governance.
- Conducting financial statement analysis to evaluate corporate performance.
Treasury Risk Management Fundamentals
- Core concepts of treasury risk management, including market, credit, and operational risk.
- Regulatory requirements and compliance frameworks for treasury operations.
- Strategic risk mitigation techniques to protect financial assets.
Advanced Treasury Operations and Liquidity Management
- Key strategies for liquidity management and cash flow optimisation.
- Best practices in managing financial instruments and currency exposure.
- Case studies on effective treasury risk controls and governance.
Hedging Strategies and Financial Instruments
- Introduction to derivative instruments and their role in risk management.
- Implementing hedging strategies to minimise financial risk.
- Evaluating the effectiveness of risk mitigation tools in treasury operations.
Risk-Based Financial Decision Making
- Developing risk-aware financial strategies for sustainable growth.
- Assessing economic and geopolitical factors affecting treasury functions.
- Integrating risk management principles into financial planning and decision-making.
Treasury Risk Management Certification and Best Practices
- Understanding the certification process for treasury risk management certification.
- Exploring industry best practices in financial risk oversight and compliance.
- Practical application of risk control frameworks in multinational corporations.
Corporate Governance and Financial Ethics
- The role of ethical financial reporting in corporate governance.
- Evaluating the impact of fraud detection and prevention measures in financial risk management.
- Aligning treasury policies with global regulatory expectations.
Financial Reporting and Strategic Performance Management
- Integrating financial reporting insights into business strategy.
- Utilising key performance indicators (KPIs) for financial success.
- Building a risk-resilient financial structure within an organisation.
Case Studies and Practical Application
- Real-world case studies on financial misstatements and risk management failures.
- Group exercises to reinforce key learning objectives.
- Final assessment and best practice recommendations for ongoing risk governance.