Treasury & Expenditure Management


Component 6: Treasury Management


Objective: To strengthen the Treasury Management Operations for timely and accurate cash balances, public debt, and effective management of bank accounts and cash plans.

 

It is essential to strengthen cash planning and cash management to improve effectiveness of budget execution. This component aims to strengthen the Treasury Management Operations for timely and accurate cash balances, public debt, and effective management of bank accounts and cash plans.

Follow by Email
Facebook
Facebook