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Does Public Sector treasury management face its biggest opportunity or threat? Will derivatives make a return? What are the real consequences of accessing a new range of risk management solutions?
This conference is dedicated to real time issues facing treasury managers; the economy, risk management based solutions to borrowing and enhanced investment returns, managing elected member’s appetite for risk, we revisit the challenges facing building societies and with the help of Fitch Ratings we gain a practical insight into the Credit Default Swaps market. We conclude with the results of the 2011 National Risk Study and a look ahead into treasury activity post HRA reform.
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