Treasury Management Seminar
Thursday, March 26, 2020
8:30 am – 4:00 pm
** Seating is limited
4 CPE Credits apply
Register Online or
Download brochure and registration form
In this seminar, attendees will gain a deeper understanding of bank Treasury Management (also known as Cash Management) products and services. Learn how these products provide value to business clients and banks and how to identify new and trending products and their effect on traditional Treasury Management products. Discover who your new and varied competitors are, and understand the linkage between business deposit acquisition and Treasury Management product sales.
Who Should Attend?
The session is geared towards all bank staff who are interested in a basic knowledge of Treasury Management products and services including: those new to Treasury Management sales and/or service, new business development staff, lenders/relationship managers and retail delivery staff who have business calling responsibilities. Sales support and operations staff who work with Treasury Management products are also welcome.
Event Cancellation and Refund Policy
The deadline to receive a refund for an event is two weeks (14 days) before the event. No refunds will be issued for cancellations received after the deadline, but substitutions are welcome.
Due to the cost of events, attendees who do not show at events and do not cancel their reservation two weeks or more prior to the event date will be invoiced.