Debt and Capital Markets for Treasury Training Course offered by Imperial Corporate Training Institute is a specialised programme within Treasury Management Training Courses, designed to enhance the knowledge and strategic capabilities of treasury professionals in managing corporate debt, capital markets, and financing operations. The course equips participants with the skills to navigate bond markets, corporate borrowing, and capital market instruments, aligning treasury functions with organisational funding strategies and risk management frameworks.
Participants gain practical insight into debt and capital markets for treasury, exploring corporate debt instruments and financing techniques, and understanding how treasury teams interact with debt and equity markets. The programme emphasises debt financing strategies for corporates, capital market instruments for treasury, and the treasury role in optimising corporate borrowing and investment decisions.
The course also addresses the operational and strategic aspects of debt capital markets and treasury operations, covering financial market dynamics, regulatory considerations, and corporate governance frameworks. Participants develop analytical and decision-making skills to evaluate financing options, structure debt, and optimise treasury operations to support organisational liquidity and funding objectives.
Through capital markets training for treasury professionals, participants gain confidence in navigating bond markets and other capital market instruments, understanding risk, return, and financing structures critical to corporate treasury management. The course integrates practical scenarios, case studies, and treasury-focused exercises to ensure actionable skills for corporate treasury teams.
By completing this programme, treasury professionals will be capable of aligning treasury operations with corporate financial strategy, leveraging debt and capital markets effectively, and implementing best practices in corporate borrowing, capital allocation, and risk management.
Objectives
- Enhance understanding of debt and capital markets for treasury
- Develop knowledge of capital markets training for treasury professionals
- Understand corporate debt instruments and financing techniques
- Analyse bond markets and treasury management processes
- Strengthen debt financing strategies for corporates
- Gain expertise in capital market instruments for treasury
- Clarify the treasury role in debt and equity markets
- Improve corporate borrowing and capital market decision-making
- Develop financial markets training for treasury teams
- Integrate debt capital markets knowledge into treasury operations
- Optimise treasury operations through market-based financing
- Apply best practices in debt structuring and capital management
Target Audience
- Treasury managers and officers
- Corporate finance and treasury professionals
- Debt capital markets analysts
- Financial controllers and finance managers
- Treasury operations and funding teams
- Risk management professionals in treasury
- Corporate borrowing and financing specialists
- Bond and capital markets specialists
- Treasury system and operations staff
- Investment and treasury analysts
- Corporate strategy and finance advisors
- Senior executives overseeing treasury operations