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An Introductory Guide to the Essentials of Treasury Management in Theory and Practice: Cash Flow Forecasting, Liquidity Planning, Banking Operations,

An Introductory Guide to the Essentials of Treasury Management in Theory and Practice: Cash Flow Forecasting, Liquidity Planning, Banking Operations,

Paperback

Investing & Finance

ISBN13: 9798186259053
Publisher: Independently Published
Published: Jul 8 2026
Pages: 216
Weight: 0.65
Height: 0.46 Width: 6.00 Depth: 9.00
Language: English

Treasury management sits at the centre of an organisation's financial stability. It helps ensure that cash is available when needed, payments are controlled, liquidity risks are managed, funding is planned, and financial resources are used effectively.

This book has been created for readers who want a clear, practical, and structured introduction to treasury management without needing years of corporate finance experience.

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Investing & Finance