Description

Book Synopsis

TREASURY MANAGEMENT

The Practitioner''s Guide

Treasury Management: The Practitioner''s Guide describes all aspects of the treasury function. This comprehensive book includes chapters covering the treasury department, cash transfer methods, cash forecasting, cash concentration, working capital management, debt management, equity management, investment management, foreign exchange risk management, interest risk management, clearing and settlement systems, and treasury systems.

If you are a treasurer, CFO, cash manager, or controller, Treasury Management: The Practitioner''s Guide allows you to quickly grasp the real world of treasury management and the many practical and strategic issues faced by treasurers and financial professionals today.

Table of Contents

Preface ix

About the Author xi

Part One Cash Management 1

Chapter 1 Treasury Department 3

Role of the Treasury Department 3

Treasury Controls 6

Treasurer Job Description 7

Position of Treasury within the Corporate Structure 7

Treasury Centralization 8

Treasury Compensation 10

Bank Relations 10

Treasury Outsourcing 13

Summary 18

Chapter 2 Cash Transfer Methods 21

Check Payments 21

Wire Transfers 27

ACH Payments 28

Procurement Cards 31

Cash Payments 32

Fees for Cash Transfers 32

Summary of Cash Transfer Methods 32

Cash Transfer Controls 34

Cash Transfer Procedures 43

Summary 48

Chapter 3 Cash Forecasting 49

Cash Forecasting Model 49

Information Sources for the Cash Forecast 53

Measuring Cash Forecast Accuracy 54

Cash Forecasting Automation 55

Bullwhip Effect 57

Business Cycle Forecasting 58

Cash Forecasting Controls 60

Cash Forecasting Policies 62

Cash Forecasting Procedure 62

Summary 62

Chapter 4 Cash Concentration 67

Benefits of Cash Concentration 67

Cash Concentration Strategies 69

Pooling Concepts 70

Physical Sweeping 70

Notional Pooling 73

Comparison of Account Sweeping and Notional Pooling 74

Nonpooling Situations 75

Bank Overlay Structure 75

Cash Concentration Controls 76

Cash Concentration Policies 78

Cash Concentration Procedures 79

Summary 81

Chapter 5 Working Capital Management 83

Working Capital Variability 83

Cash Management 85

Credit Management 85

Receivables Management 87

Inventory Management 88

Working Capital Metrics 95

Summary 102

Part Two Financing 103

Chapter 6 Debt Management 105

Types of Debt 105

Credit-Rating Agencies 116

Accounting for Debt 118

Debt-Related Controls 130

Debt-Related Policies 134

Debt-Related Procedures 135

Summary 136

Chapter 7 Equity Management 141

Stock Registration 141

Exemptions from Stock Registration 147

Accounting for Stock Sales 150

Equity-Related Controls 152

Equity-Related Policies 154

Equity-Related Procedures 156

Summary 163

Chapter 8 Investment Management 165

Investment Criteria 165

Investment Options 166

Investment Strategies 169

Outsourced Investment Management 172

Risk-Reduction Strategies 173

Accounting for Investments 174

Investment Journal Entries 182

Investment Reporting 188

Investment Management Controls 188

Investment Management Policies 191

Investment Management Procedures 195

Summary 199

Part Three Risk Management 205

Chapter 9 Foreign Exchange Risk Management 207

Foreign Exchange Quote Terminology 207

The Nature of Foreign Exchange Risk 208

Data Collection for Foreign Exchange Risk Management 209

Foreign Exchange Hedging Strategies 210

Hedge Accounting 223

Foreign Exchange Hedge Controls 232

Foreign Exchange Hedge Policies 234

Record Keeping for Foreign Exchange Hedging Activities 235

Foreign Exchange Hedge Procedures 236

Summary 238

Chapter 10 Interest Risk Management 239

Interest Risk Management Objectives 239

Interest Risk Management Strategies 240

Accounting for Interest Risk Management Activities 253

Interest Risk Management Policies 266

Record Keeping for Interest Rate Risk Management 267

Interest Risk Management Procedures 267

Summary 267

Part Four Treasury Systems 271

Chapter 11 Clearing and Settlement Systems 273

Characteristics of Clearing and Settlement Systems 273

Overview of the Clearing and Settlement Process 273

Fedwire 275

Automated Clearing House (ACH) System 275

Clearing House Interbank Payments System (CHIPS) 277

Check Clearing 278

The Continuous Link Settlement (CLS) System 280

Summary 281

Chapter 12 Treasury Systems 283

Treasurer’s Technology Needs 283

Treasury Management System 285

SWIFT Connectivity 287

Summary 288

Index 289

Treasury Management

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Order before 4pm today for delivery by Mon 5 Jan 2026.

A Hardback by Steven M. Bragg

15 in stock


    View other formats and editions of Treasury Management by Steven M. Bragg

    Publisher: John Wiley & Sons Inc
    Publication Date: 12/03/2010
    ISBN13: 9780470497081, 978-0470497081
    ISBN10: 0470497084

    Description

    Book Synopsis

    TREASURY MANAGEMENT

    The Practitioner''s Guide

    Treasury Management: The Practitioner''s Guide describes all aspects of the treasury function. This comprehensive book includes chapters covering the treasury department, cash transfer methods, cash forecasting, cash concentration, working capital management, debt management, equity management, investment management, foreign exchange risk management, interest risk management, clearing and settlement systems, and treasury systems.

    If you are a treasurer, CFO, cash manager, or controller, Treasury Management: The Practitioner''s Guide allows you to quickly grasp the real world of treasury management and the many practical and strategic issues faced by treasurers and financial professionals today.

    Table of Contents

    Preface ix

    About the Author xi

    Part One Cash Management 1

    Chapter 1 Treasury Department 3

    Role of the Treasury Department 3

    Treasury Controls 6

    Treasurer Job Description 7

    Position of Treasury within the Corporate Structure 7

    Treasury Centralization 8

    Treasury Compensation 10

    Bank Relations 10

    Treasury Outsourcing 13

    Summary 18

    Chapter 2 Cash Transfer Methods 21

    Check Payments 21

    Wire Transfers 27

    ACH Payments 28

    Procurement Cards 31

    Cash Payments 32

    Fees for Cash Transfers 32

    Summary of Cash Transfer Methods 32

    Cash Transfer Controls 34

    Cash Transfer Procedures 43

    Summary 48

    Chapter 3 Cash Forecasting 49

    Cash Forecasting Model 49

    Information Sources for the Cash Forecast 53

    Measuring Cash Forecast Accuracy 54

    Cash Forecasting Automation 55

    Bullwhip Effect 57

    Business Cycle Forecasting 58

    Cash Forecasting Controls 60

    Cash Forecasting Policies 62

    Cash Forecasting Procedure 62

    Summary 62

    Chapter 4 Cash Concentration 67

    Benefits of Cash Concentration 67

    Cash Concentration Strategies 69

    Pooling Concepts 70

    Physical Sweeping 70

    Notional Pooling 73

    Comparison of Account Sweeping and Notional Pooling 74

    Nonpooling Situations 75

    Bank Overlay Structure 75

    Cash Concentration Controls 76

    Cash Concentration Policies 78

    Cash Concentration Procedures 79

    Summary 81

    Chapter 5 Working Capital Management 83

    Working Capital Variability 83

    Cash Management 85

    Credit Management 85

    Receivables Management 87

    Inventory Management 88

    Working Capital Metrics 95

    Summary 102

    Part Two Financing 103

    Chapter 6 Debt Management 105

    Types of Debt 105

    Credit-Rating Agencies 116

    Accounting for Debt 118

    Debt-Related Controls 130

    Debt-Related Policies 134

    Debt-Related Procedures 135

    Summary 136

    Chapter 7 Equity Management 141

    Stock Registration 141

    Exemptions from Stock Registration 147

    Accounting for Stock Sales 150

    Equity-Related Controls 152

    Equity-Related Policies 154

    Equity-Related Procedures 156

    Summary 163

    Chapter 8 Investment Management 165

    Investment Criteria 165

    Investment Options 166

    Investment Strategies 169

    Outsourced Investment Management 172

    Risk-Reduction Strategies 173

    Accounting for Investments 174

    Investment Journal Entries 182

    Investment Reporting 188

    Investment Management Controls 188

    Investment Management Policies 191

    Investment Management Procedures 195

    Summary 199

    Part Three Risk Management 205

    Chapter 9 Foreign Exchange Risk Management 207

    Foreign Exchange Quote Terminology 207

    The Nature of Foreign Exchange Risk 208

    Data Collection for Foreign Exchange Risk Management 209

    Foreign Exchange Hedging Strategies 210

    Hedge Accounting 223

    Foreign Exchange Hedge Controls 232

    Foreign Exchange Hedge Policies 234

    Record Keeping for Foreign Exchange Hedging Activities 235

    Foreign Exchange Hedge Procedures 236

    Summary 238

    Chapter 10 Interest Risk Management 239

    Interest Risk Management Objectives 239

    Interest Risk Management Strategies 240

    Accounting for Interest Risk Management Activities 253

    Interest Risk Management Policies 266

    Record Keeping for Interest Rate Risk Management 267

    Interest Risk Management Procedures 267

    Summary 267

    Part Four Treasury Systems 271

    Chapter 11 Clearing and Settlement Systems 273

    Characteristics of Clearing and Settlement Systems 273

    Overview of the Clearing and Settlement Process 273

    Fedwire 275

    Automated Clearing House (ACH) System 275

    Clearing House Interbank Payments System (CHIPS) 277

    Check Clearing 278

    The Continuous Link Settlement (CLS) System 280

    Summary 281

    Chapter 12 Treasury Systems 283

    Treasurer’s Technology Needs 283

    Treasury Management System 285

    SWIFT Connectivity 287

    Summary 288

    Index 289

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