Welcome to the Centre for International Central Bank Dialogue
Cash Management at the Bundesbank, from 12.04.2027 till 16.04.2027 in Frankfurt
Objective
The whole full range of tasks undertaken by a modern central bank in the field of cash management will be presented and discussed – from an international perspective to a closer look at how the Bundesbank operates.
Participants will learn about central bank cash management methods and will be expected to participate actively in discussions, exchange their opinions and views throughout the course, and give a presentation on their own tasks or on a specific topic relating to cash management.
Contents
- The role of the Bundesbank in the cash cycle
- Issuance policy for banknotes and coins, cash requirement planning
- Cash for Europe
- Structure and operational aspects of cash management at the Bundesbank
- IT applications for cash management in use at the Bundesbank
- Technical facilitation of cash processes
- External cash recycling
- Current findings in cash research
- Counterfeit and damaged banknotes and coins; NAC-processes and current challenges
- Cash handling from an occupational health perspective
Target group
The course is designed for senior employees involved in issuing and processing banknotes and coins or in dealing with counterfeit money as well as for executives and managers heading groups, sections or divisions in the cash department. Participants should have a sound background in cash management and be willing to talk about their area of responsibility.