Treasury management and SGS software Training
Description:
New treasurers are encouraged to register.
During this 3 day training, the treasurer will learn how to keep the books, prepare the budget, and create financial reports.
Module 1 – THE ROLE AND RESPONSIBILITIES OF THE TREASURER
Module 2 – TREASURER’S DUTIES AND AVAILABLE TOOLS
Module 3 – UNION REVENUE
Module 4 – UNION EXPENSES
Module 5 – RECORD KEEPING AND ACCOUNTING
Module 6 – CASH RECONCILIATION AND VERIFICATION
Module 7 – TREASURER’S REPORT
Module 8 – BUDGET FORECASTING
Module 9 – REPORTING WAGES TO THE CNESST
Module 10 – COMPUTER TOOLS
The 3-day training will be held on January 20, 21 and 22, 2026, in Irène Ellenberger Room, 2nd floor, 1601 Avenue de Lorimier, Montreal.
Is the training fully booked? Contact us at
Please remember to cancel any registration at least 10 days in advance to avoid penalizing other participants.