Реструктуризация казначейских операций в исламских финансах

Обзор

Обзор программы

Контекст программы
This workshop is part of the Market-Development Suite — programmes supporting advanced institutional and ecosystem needs. It addresses the Islamic treasury function comprehensively, from foundational principles to advanced liquidity and capital market instruments.

Why This Programme Matters
Islamic treasury operations require a distinct set of tools, instruments, and risk frameworks. Practitioners must navigate Shari’ah constraints on debt, interest, and speculation while meeting the same liquidity, capital, and regulatory requirements as conventional peers. This workshop develops the practical and conceptual capability to do so effectively.

Programme Approach
Delivered in English over two days in a hybrid format. Combines presentations, case studies, and Q&A, with a focus on real-world treasury decisions and market practice.

Day 1: Reimagining Islamic Treasury Foundations

  • Islamic finance imperatives and prohibitions relevant to treasury activities
  • Treasury management in Islamic banking: purpose, scope, and institutional role
  • Objectives: liquidity preservation, balance sheet stability, and Shari’ah stewardship
  • Behavioural and structural differences between Islamic and conventional treasury management
  • Islamic treasury operations in practice: decision-making under uncertainty and operational constraints

Day 2: Products, Risk, and Practical Applications

  • Shari’ah-compliant treasury instruments and their applications
  • Liquidity management: short-term and long-term funding solutions
  • FX, hedging structures, repo alternatives, and treasury liquidity tools
  • Sale of debt and promise-based structures
  • Treasury risk management: identification, measurement, and mitigation techniques

Progression Pathway
An intermediate-to-advanced programme. Participants are expected to have working knowledge of Islamic banking. Complements the Sukuk Structuring workshops and the Pool Management Masterclass.

Учебный план

Учебный план и результаты обучения

Чему вы научитесь

Gain practical insights into the range and application of Shari'ah-compliant treasury products
Develop understanding of risk management techniques for Islamic treasury operations
Explore liquidity management solutions covering both short-term and long-term funding options
Ensure alignment with Shari'ah principles and applicable regulatory requirements
Apply concepts through case studies and practical examples from real-world treasury operations

Содержание программы

Day 1: Reimagining Islamic Treasury Foundations
- Islamic finance imperatives and prohibitions relevant to treasury
- Treasury management in Islamic banking: purpose, scope, and institutional role
- Objectives: liquidity preservation, balance sheet stability, and Shari'ah stewardship
- Behavioural and structural differences between Islamic and conventional treasury
- Islamic treasury operations in practice, decision-making under uncertainty
Day 2: Products, Risk, and Practical Applications
- Shari'ah-compliant treasury instruments and their applications
- Liquidity management: short-term and long-term funding solutions
- FX, hedging structures, repo alternatives, and treasury liquidity tools
- Sale of debt and promise-based structures
- Treasury risk management: identification, measurement, and mitigation
Требования

Требования и право на участие

Образование

Treasury managers, auditors, accountants, regulators, consultants, and Shari'ah compliance professionals involved in treasury operations and liquidity management within Islamic financial institutions.

Расписание

Расписание и даты

Дата начала 18 May 2026
Дата окончания 19 May 2026
Количество потоков 6
Организатор программы

Организатор и партнёр по реализации

В партнёрстве с Центр содействия развития исламского финансирования AAOIFI
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