Details StatusClosedPublication date12 November 2019Deadline date22 November 2019, 23:59 (CET) Description Details Type of call for tenders: Negotiated procedure for a low value contract HR/AMC.7-BUDG/PN/2019/001 Subject: Services - Two days training Deadline for expression of interest: 22/11/2019 Description Two days training on International Cash and Treasury Management covering : Role of corporate Treasury, Elements of Cash and Liquidity Management, Domestic and International Banking Systems, Value dating, Float and other costs, Liquidity Management Techniques, Day to day cash management routine, Cash flow forecasting, Assessing banking needs, Systems : Core treasury systems, Electronic and internet banking, Cybersecurity and fraud / control, Money markets, Investing corporate cash, Corporate funding, Foreign exchange markets, Financial risk Contact Email:HR-AMC-SC11-TRAININGec [dot] europa [dot] eu (HR-AMC-SC11-TRAINING[at]ec[dot]europa[dot]eu) Documents 13 NOVEMBER 2019Call for tenders: Training on International Cash and Treasury Management