About Course
🚀 Oracle Treasury Management Training
Cash Management, Liquidity Planning & Enterprise Financial Risk Solutions
📘 What is Oracle Treasury Management?
Oracle Treasury Management is an enterprise
financial management solution
used for managing
cash flows,
banking operations,
liquidity planning,
investments,
debt management,
financial risk analysis,
and treasury operations across organizations.
Oracle Treasury Management helps organizations:
Optimize cash management
Improve liquidity visibility
Automate banking operations
Reduce financial risks
Enhance investment planning
Support global treasury operations
Oracle Treasury Management is widely used in:
Banking & finance organizations
Healthcare enterprises
Retail & e-commerce companies
Manufacturing industries
Telecom organizations
Government organizations
Global enterprise operations
Oracle Treasury Management is known for:
Enterprise cash management
Liquidity forecasting
Bank integration automation
Financial risk management
Treasury analytics & reporting
Operational scalability & resilience
⚡ Oracle Treasury Management Supports
Cash management
Liquidity forecasting
Bank account management
Payments & settlements
Debt & investment management
Financial risk analysis
Bank reconciliation
Treasury analytics
Enterprise governance
Operational monitoring
🏢 Oracle Treasury Management Helps Organizations
Optimize enterprise cash flows
Improve liquidity planning
Reduce financial risks
Automate treasury workflows
Enhance banking visibility
Increase operational productivity
🏭 Industries Using Oracle Treasury Management
Banking & Finance
Healthcare
Retail & E-Commerce
Insurance Systems
Manufacturing
Telecom Industry
Government Services
Enterprise Business Platforms
🛠 Popular Technologies Used with Oracle Treasury Management
Oracle Treasury Management
Oracle Cash Management (CM)
Oracle Fusion Financials
Oracle ERP Cloud
Oracle General Ledger (GL)
Oracle Accounts Payable (AP)
Oracle Accounts Receivable (AR)
Oracle Payments
Oracle BI Publisher
Oracle Analytics Cloud (OAC)
SQL
PL/SQL
REST APIs
Oracle Integration Cloud (OIC)
SWIFT Banking Integration
Excel
Power BI
Tableau
Git
Jenkins
OCI / AWS / Azure / GCP
💡 In Simple Words
Oracle Treasury Management helps organizations
manage enterprise cash,
optimize liquidity,
control financial risks,
and automate treasury operations efficiently.
🎯 Course Overview
This course helps you learn:
Oracle Treasury Management fundamentals
Cash & liquidity management
Bank integration workflows
Debt & investment management
Financial risk management
ERP financial integration
Treasury reporting & analytics
Security & governance
Performance optimization
Real-time enterprise Oracle Treasury projects
Learn Oracle Treasury Management from beginner
to advanced level with practical hands-on projects.
⚙️ How Oracle Treasury Management Works
Manage enterprise bank accounts
Monitor cash inflows & outflows
Forecast liquidity requirements
Automate payment processing
Analyze financial risks
Generate treasury analytics & reports
Example:
Build an enterprise treasury
management platform integrating ERP,
banking systems,
payments,
and financial reporting workflows using Oracle Treasury Management.
🏢 Real-Time Business Use Cases
BANKING & FINANCE
Enterprise liquidity forecasting systems
Treasury risk analytics platforms
HEALTHCARE
Healthcare payment management systems
Cash flow automation platforms
RETAIL & E-COMMERCE
Retail treasury dashboards
Global payment processing systems
MANUFACTURING
Supply chain liquidity management
Vendor payment automation systems
ENTERPRISE OPERATIONS
Global treasury governance platforms
Hybrid ERP financial management systems
📚 DETAILED COURSE CONTENT
Module 1: Introduction to Oracle Treasury Management
What is Oracle Treasury Management
Features of Treasury Management
Treasury lifecycle overview
Cash flow concepts
Use cases of Oracle Treasury
Installation & setup
Financial governance basics
Module 2: Treasury & Cash Management Fundamentals
What is treasury management
Cash flow management
Liquidity concepts
Working capital management
Operational governance
Enterprise finance systems
Module 3: Oracle Treasury Architecture
Treasury Management modules
Treasury workflows
Financial integration architecture
ERP connectivity concepts
Operational efficiency
Enterprise treasury systems
Module 4: Bank Account Management
Bank account setup
Bank branches & account structures
Cash positioning
Bank relationship management
Operational analytics
Enterprise banking systems
Module 5: Cash Positioning & Liquidity Forecasting
Cash forecasting
Liquidity planning
Cash concentration
Intercompany funding
Operational intelligence
Enterprise liquidity systems
Module 6: Payments & Settlements
Payment workflows
Electronic fund transfers
Settlement processing
Payment approvals
Operational scalability
Enterprise payment systems
Module 7: Oracle Cash Management Integration
Oracle CM integration
Bank statement processing
Cash reconciliation
Transaction matching
Operational governance
Enterprise cash systems
Module 8: Oracle Payables & Receivables Integration
Oracle AP integration
Oracle AR integration
Invoice settlements
Receivables forecasting
Operational efficiency
Enterprise ERP systems
Module 9: Debt & Investment Management
Debt instruments
Investment portfolios
Interest calculations
Treasury accounting
Operational analytics
Enterprise finance systems
Module 10: Financial Risk Management
Foreign exchange risk
Interest rate risk
Liquidity risk analysis
Hedging concepts
Operational intelligence
Enterprise risk systems
Module 11: Bank Reconciliation & SWIFT Integration
Bank reconciliation workflows
SWIFT messaging concepts
Electronic banking integration
Financial transaction processing
Operational scalability
Enterprise banking systems
Module 12: Treasury Reporting & Analytics
Treasury dashboards
Liquidity reports
Cash forecasting analytics
Financial reporting
Operational governance
Enterprise BI systems
Module 13: Oracle BI Publisher & Analytics Integration
BI Publisher integration
Oracle Analytics Cloud integration
Dashboard visualization
Executive reporting
Operational resilience
Enterprise reporting systems
Module 14: REST APIs & ERP Integration
REST API integration
ERP connectivity
Hybrid financial workflows
JSON & XML processing
Operational efficiency
Enterprise integration systems
Module 15: Security & Compliance Management
Authentication & authorization
Role-based access
Audit controls
Compliance monitoring
Operational intelligence
Enterprise security systems
Module 16: Performance Tuning & Optimization
Treasury workflow optimization
ERP performance tuning
Batch processing optimization
Database tuning
Operational scalability
Enterprise support systems
Module 17: Monitoring & Troubleshooting
Treasury monitoring dashboards
Log analysis
Error diagnostics
Workflow tracking
Operational governance
Enterprise monitoring systems
Module 18: Cloud & Hybrid Financial Architecture
OCI integration basics
Cloud ERP integration
Hybrid finance architecture
Financial interoperability
Operational efficiency
Enterprise cloud systems
Module 19: AI & Intelligent Treasury Operations
Artificial Intelligence basics
AI-powered treasury analytics
Predictive cash forecasting
Automation optimization
Operational resilience
Enterprise AI systems
Module 20: Real-Time Enterprise Oracle Treasury Projects
Enterprise liquidity forecasting platform
Global treasury dashboard system
ERP banking integration platform
Hybrid financial management solution
Treasury risk analytics dashboard
Enterprise compliance reporting system
Module 21: Certification & Interview Preparation
Oracle Treasury Management interview questions
Cash management discussions
Liquidity forecasting scenarios
ERP treasury workflows
Financial risk management discussions
Resume preparation
💼 Career Opportunities
Oracle Treasury Consultant
Oracle Financials Consultant
Treasury Analyst
ERP Finance Consultant
Cash Management Specialist
Financial Risk Analyst
Cloud ERP Treasury Consultant
Enterprise Solutions Consultant
✅ Benefits of Learning Oracle Treasury Management
High-demand ERP finance skill
Strong treasury & liquidity expertise
Excellent Oracle financial consulting opportunities
Real-world enterprise treasury experience
Strong banking & risk management opportunities
Excellent global IT job demand
🌟 Why Choose GTC Trainings?
Real-time enterprise finance projects
Expert trainers
Hands-on practical learning
Interview preparation
Placement assistance
Flexible online training

