Training course overview
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.
This Coventry Academy training course will feature:
- 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