دورة تدريبية تفاعلية للغاية حول

التجارة الدولية والتمويل

Coventry Academy -  International Trade & Finance
5
أيام

جداول الدورات

 دبي
 17-21 Feb 2025
 $5,950

نظرة عامة على الدورة التدريبية

The international market is becoming increasingly volatile and competitive. As a result it is vital to understand the nature and legal issues relating to International Finance, International Payments and how to manage the Credit Risk, Liquidity Risk and Exchange Rate Risk associated with international contracts. This course is designed to enable participants to negotiate and manage appropriate methods of payment, reduce risk and manage liquidity whilst remaining competitive in a volatile global market. The course provides a detailed analysis of the various Methods of International Payment; the procedures/systems; the legal protection and obligations and an evaluation of the methods of managing credit, liquidity and exchange rate risk.

ستتضمن هذه الدورة التدريبية لأكاديمية كوفنتري:

  •  A detailed understanding of international finance and methods of payments; the procedures/systems, the legal protection and obligations
  • The I.C.C. Uniform Customs & Practice and Uniform Rules
  • Methods to reduce/eliminate exchange rate risk using internal and external hedging instruments
  • International Treasury Management
  • The latest tools and techniques such as Derivatives

ما هي الأهداف؟

بنهاية هذه الدورة التدريبية، سيكون المشاركون قادرين على: 

  • Negotiate and manage appropriate international methods of payment to reduce risk and manage liquidity
  • Understand the legal and regulatory framework, international protocols/conventions; ICC Uniform Rules for Collections and ICC Uniform Customs & Practice for Letters of Credit
  • Evaluate the methods of managing both liquidity and exchange rate risk
  • Evaluate and identify the most appropriate methods of finance: recourse and non-recourse
  • Identify common operational failures and how to avoid them  

لمن هذه الدورة التدريبية؟

هذه الدورة التدريبية لأكاديمية كوفنتري مناسبة لمجموعة واسعة من المهنيين ولكنها ستستفيد بشكل كبير:

  • Those responsible for negotiating, managing or processing international payments/contracts either as exporter, importer or contractor.
  • Staff responsible for managing liquidity or securing finance
  • Staff responsible for exchange rate risk management
  • Managers dealing directly or indirectly with international payments, liquidity/finance and exchange rate risk who wish to increase their understanding and awareness of the major issues and on-going development
  • Bank officials who deal with international payments, finance/liquidity issues or exchange rate problems faced by their clients

كيف سيتم تقديم هذه الدورة التدريبية؟

This Coventry Academy training course will utilise a variety of proven adult learning techniques to ensure maximum understanding, comprehension and retention of the information presented. This includes the analysis and evaluation of real-world case studies, group discussions and video presentations. The practical and interactive nature of the course will enable delegates to transfer both knowledge and skills direct to their workplace, benefitting the organization and the delegate.

مخطط الدورة

Day One: An Overview of International Trade
  • International Trade: The Growth, Nature & Risks
  • Techniques for Managing Risk
  • Documentation and Commercial Shipping Terms, (Incoterms).
  • International Payment Systems, Regulations & Money Laundering
  • International Contracts & Guarantees and Bonds
  • Foreign Trade Services
Day Two: Negotiating International Methods of Payment
  • International Payment Systems: Advantages and Disadvantages
  • Open Account
  • Payment in Advance
  • Documentary Collections & ICC Uniform Rules for Collections
  • Letters of Credit & Uniform Customs & Practice
  • Types of Letters of Credit (Transferable, Back to Back etc)
Day Three: Liquidity Management & International Finance
  • Liquidity Management
  • Status Reports
  • International Trade Insurance
  • Finance for Exporters & Importers:
  • Finance for Importers
  • Non-Recourse Finance
Day Four: Managing Exchange Rate Risk
  • Defining and Identifying Exchange Rate Risk
  • Measuring and Evaluating the Risk
  • Determinants of Exchange Rates
  • Managing Risk: - reducing/eliminating exchange rate risk
  • Internal Hedging Techniques
  • External Hedging Techniques (Derivatives) & Strategies
Day Five: International Treasury Management 
  • The Strategic Role & Scope of Treasury Management
  • International Finance & International Capital Budgeting
  • Transfer Payments
  • Evaluating the Performance of Overseas Subsidiaries/Departments
  • Risk Management Strategy
  • Regulation - The International Regulatory Framework

الشهادة

  • Coventry Academy Certificate of Attendance will be provided to delegates who attend and complete the course

أكاديمية كوفنتري
عادة ما يتم الرد في غضون ساعة

فلورنسا
مرحبًا بكم 👋
اسمي فلورنسا. من فضلك قل لي كيف يمكنني مساعدتك ..
1:40
×