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Terminated in academic year 2016/2017

Treasury Management

Type of study Follow-up Master
Language of instruction English
Code 154-0546/01
Abbreviation TM
Course title Treasury Management
Credits 3
Coordinating department Department of Finance
Course coordinator Ing. Martina Novotná, Ph.D.

Subject syllabus

1) Fundamentals, objectives and position of treasury managementu ina company.
2) Cash management – strategy of liquidity and working capital management, cash flow forecasting, theoretical models.
3) Cash management – solution (short and long)) of the cash shortage.
4) Cash management – solution (short and long)) of the cash surplus.
5) Cash management – solution (short and long)) of the cash surplus II. + tax and other aspects (PMR, PPV).
6) Cash pooling a netting.
7) Case study– treasury daily business
8) Currency and interest risks management with emhasise on tools and techniques used in the Czech Republic.
9) External relations from treasury point of view – relations with banks and investors, rating, corporate governance.
10) Legal, tax and accounting aspects of treasury.
11) Treasury systems, incl. EBS.
12) Treasury management evolution in the Czech Republic + trends.
13) Treasury management evolution in the middle and east Europe + EU.
14) Dealing – FOREX, MM, CM.

Literature

BRAGG, S. Treasury Management. The Practitioner’s Guide. New Jersey: Wiley & Sons, Inc., 2010. ISBN 978-0-470-49708-1.
WIELEN, L. et al. International Cash Management. Amsterdam: Riskmatrix, 2006.
ISBN 978-90-802323-8-9 .

Advised literature

The Association of Corporate Treasurers (UK): The International Treasurer’s Handbook 2011.
ACT, London 2010. ISBN 978-1-869819-21-7.
BREALEY, R. A., MYERS, S. C., ALLEN, F. Principles of Corporate Finance. New York: McGraw-Hill, 2011.