Liquidity Management Course Overview - Everything You Will Learn
4 January 2026·3 min
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Liquidity is one of the most critical and fast moving risks in banking. It is also one of the least understood. Whether you work in Treasury, Risk, Finance, Audit, or Regulation this course gives you the knowledge and clarity to manage liquidity with confidence across real banking environments.
Across 20 structured sessions you will build a full, end to end understanding of liquidity risk. You will learn what liquidity really is, how it behaves under stress, how to measure it, and how to manage it using global best practice. The course blends theory with real world examples, practical tools, and clear explanations designed for modern finance professionals.
We explore everything from the Liquidity Coverage Ratio, Net Stable Funding Ratio, and internal stress testing, to Funds Transfer Pricing, buffer management, contingency funding plans and ILAAP expectations. You will also learn how Treasury, Risk and Finance teams work together in practice, how UK and EU regulators assess liquidity, and how future trends like climate risk, ESG, AI and digital currencies are reshaping the liquidity landscape.
This is more than a technical course. It is a strategic programme that helps you develop the mindset, behaviours and communication skills of an effective liquidity professional. Every session is self contained but builds into a clear, cohesive journey that prepares you to lead on liquidity risk in your organisation.
By the end of the course you will be able to assess funding strategies, challenge assumptions, support regulatory submissions and make stronger decisions under pressure. Whether you are new to banking or looking to deepen your expertise this course moves you beyond surface knowledge and into practical mastery.
Start learning directly on The Industry Portal website or through our YouTube channel.
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