Corporate Treasury Management
Liquidity, funding, and working capital for the treasury function.
Foundational · Self-paced
NYIBF Professional Education
Study corporate treasury, asset liability management, liquidity and bank balance-sheet concepts.
Explore treasury and ALM learning paths for banking and finance professionals.
Liquidity, funding, and working capital for the treasury function.
Foundational · Self-paced
Interest rate risk in the banking book and balance sheet strategy.
Advanced · Virtual
Credit, market, and operational risk frameworks used inside global banks today.
Advanced · Live
Bond math, yield curves, and duration from the ground up.
Foundational · Self-paced
Compare the course scope, level, format, learning outcomes and curriculum on each course page. Use the broader NYIBF catalogue if your target role spans multiple disciplines.
A treasury management course is structured education focused on the concepts and skills associated with the subject. Course content, level and format should be reviewed before choosing a program.
They are intended for learners and professionals seeking structured banking and finance education. Review the individual course page for prerequisites, curriculum and format.
Start with your target role or finance discipline, then compare the curriculum, level, format and learning outcomes on the relevant course page.
Review the full banking and finance catalogue and choose a course aligned with your learning goals.
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