Description
Certification Name: Certificate in Treasury Manager
Course Id: CTM/Q0001.
Eligibility: Graduation or Equivalent.
Objective: The objective of the Certified Treasury Manager course is to equip participants with advanced knowledge and practical skills to manage an organizationβs treasury functions, including cash and liquidity management, financial risk assessment, investment planning, banking relationships, and corporate financing. The course covers treasury operations, foreign exchange and interest rate risk, working capital optimization, regulatory compliance, and treasury technology systems.Β
Duration: Three Month.
Β How to Enroll and Get Certified in Your Chosen Course:
Β Step 1:Β Choose the course you wish to get certified in.
Β Step 2:Β Click on theΒ βEnroll NowβΒ button.
Β Step 3:Β Proceed with the enrollment process.
Β Step 4:Β Enter your billing details and continue to course fee payment.
Β Step 5:Β You will be redirected to the payment gateway. Pay the course and exam fee using one of the following methods:
Debit/Credit Card, Wallet, Paytm, Net Banking, UPI, or Google Pay.
Β Step 6:Β After successful payment, you will receive your study material login ID and password via email withinΒ 48 hoursΒ of fee payment.
Β Step 7:Β Once you complete the course, take theΒ online examination.
Β Step 8:Β Upon passing the examination, you will receive:
β’ AΒ soft copyΒ (scanned) of your certificate via email within 7 days of examination.
β’ AΒ hard copyΒ (original with official seal and signature) sent to your address within 45 day of declaration of result.
Β Step 9:Β After certification, you will be offeredΒ job opportunitiesΒ aligned with your area of interest.
Online Examination Detail:
Duration- 60 minutes.
No. of Questions- 30. (Multiple Choice Questions).
Maximum Marks- 100, Passing Marks- 40%.
There is no negative marking in this module.
| Marking System: | ||||||
| S.No. | No. of Questions | Marks Each Question | Total Marks | |||
| 1 | 10 | 5 | 50 | |||
| 2 | 5 | 4 | 20 | |||
| 3 | 5 | 3 | 15 | |||
| 4 | 5 | 2 | 10 | |||
| 5 | 5 | 1 | 5 | |||
| 30 | 100 | |||||
| How Students will be Graded: | ||||||
| S.No. | Marks | Grade | ||||
| 1 | 91-100 | O (Outstanding) | ||||
| 2 | 81-90 | A+ (Excellent) | ||||
| 3 | 71-80 | A (Very Good) | ||||
| 4 | 61-70 | B (Good) | ||||
| 5 | 51-60 | C (Average) | ||||
| 6 | 40-50 | P (Pass) | ||||
| 7 | 0-40 | F (Fail) | ||||
Β Key Benefits of Certification-Β Earning a professional certification not only validates your skills but also enhances your employability. Here are the major benefits you gain:
Β Practical, Job-Ready Skills βΒ Our certifications are designed to equip you with real-world, hands-on skills that match current industry demands β helping you become employment-ready from day one.
Β Lifetime Validity βΒ Your certification is valid for a lifetime β no renewals or expirations. It serves as a permanent proof of your skills and training.
Β Lifetime Certificate Verification βΒ Employers and institutions can verify your certification anytime through a secure and reliable verification system β adding credibility to your qualifications.
Β Industry-Aligned Certification βAll certifications are developed in consultation with industry experts to ensure that what you learn is current, relevant, and aligned with market needs.
Β Preferred by Employers βΒ Candidates from ISO-certified institutes are often prioritized by recruiters due to their exposure to standardized, high-quality training.
Β Free Job Assistance Based on Your Career Interests βΒ Receive personalized job assistance and career guidance in your preferred domain, helping you land the right role faster.
Assessment Modules:
Module 1: Introduction to Treasury Management: Role and responsibilities of a treasury manager, Overview of corporate treasury functions, Cash flow cycle and working capital, Financial instruments used in treasury, Treasury organization structures, Regulatory framework and compliance.
Module 2: Cash and Liquidity Management: Cash flow forecasting techniques, Daily cash position management, Bank account structures and controls, Liquidity planning and optimization, Cash concentration and pooling, Managing surplus funds and short-term investments.
Module 3: Risk Management in Treasury: Types of financial risks (interest rate, currency, credit, liquidity), Hedging strategies and instruments, Foreign exchange risk management, Derivatives and their applications, Credit risk analysis and counterparty management, Treasury controls and audit practices.
Module 4: Banking and Treasury Operations: Managing banking relationships, Payment systems and settlement processes, Treasury operations workflows, Electronic banking platforms and technologies, Treasury outsourcing and shared services, SWIFT and treasury communication protocols.
Module 5: Investment and Debt Management: Short-term and long-term investment options, Evaluating investment performance and risk, Corporate financing and capital structure, Issuance and management of debt instruments, Loan agreements and covenant compliance, Interest rate and refinancing strategies.
Module 6: Strategic Treasury Planning and Reporting: Treasury KPIs and performance metrics, Treasury budgeting and forecasting, Treasuryβs role in strategic decision-making, Financial reporting and regulatory disclosures, Treasury technology and automation, Ethics, governance, and leadership in treasury.
π Certificate in Treasury Manager
A Certificate in Treasury Manager prepares professionals to manage an organizationβs cash flow, liquidity, investments, banking relationships, risk management, and financial strategy. Treasury Managers ensure optimal utilization of funds, maintain working capital efficiency, and safeguard the company against financial risks such as currency fluctuations, interest rate volatility, and credit exposure.
They work closely with CFOs, finance teams, banks, and investment institutions to maintain financial stability and support strategic growth initiatives.
Certified professionals are in demand across corporates and financial institutions such as State Bank of India, HDFC Bank, Reliance Industries, Tata Consultancy Services, and large multinational corporations operating treasury functions in India.
πΉ Career Opportunities in India
1οΈβ£ Treasury Analyst
Monitor daily cash positions, assist in fund transfers, prepare reports, and support banking transactions.
Salary: βΉ4 β βΉ8 LPA
2οΈβ£ Senior Treasury Analyst
Handle cash forecasting, short-term investments, foreign exchange transactions, and risk analysis.
Salary: βΉ6 β βΉ12 LPA
3οΈβ£ Treasury Manager
Oversee liquidity management, working capital planning, banking relationships, hedging strategies, and compliance reporting.
Salary: βΉ10 β βΉ25 LPA
4οΈβ£ Head of Treasury / Finance Controller
Lead corporate treasury strategy, manage investment portfolios, supervise treasury teams, and support CFO-level decisions.
Income Potential: βΉ18 β βΉ45+ LPA
π Career Growth Path
Treasury Analyst β Senior Analyst β Treasury Manager β Head of Treasury β CFO Track
With advanced expertise in financial risk management, derivatives, investment analysis, and corporate finance strategy, professionals can progress into senior financial leadership roles within 6β10 years.
π’ Industries Hiring
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Banks & Financial Institutions
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Multinational Corporations
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IT & Technology Companies
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Manufacturing & Infrastructure Firms
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Consulting & Advisory Firms
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NBFCs & Fintech Companies
π― Ideal For
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Graduates in Commerce, Finance, Accounting, or Economics
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MBA (Finance) professionals
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CA, CMA, or finance-qualified professionals
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Treasury and banking professionals seeking managerial roles
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Corporate finance executives aiming for leadership positions










