This document provides an overview of treasury management in banks. It discusses key topics such as:
- The role and objectives of the treasury department in managing a bank's funds, liquidity, investments, and risks.
- The organizational structure of treasury operations, including the front office, mid office, and back office functions.
- Responsibilities of the treasury like cash forecasting, investment management, risk management, and maintaining regulatory reserves.
- The treasurer's duties in areas like financial oversight, funding, financial reporting, and controlling assets.