Centrally located hotel in Paris
Paris, Ile-de-France

A comprehensive, practical, 4-day course providing a skills-based approach to structured trade and commodity finance. On completion of the course you will gain:

- A comprehensive coverage of the structured approach to trade finance
- A focus on considerations relating to emerging market trade finance
- A view of risk and commercial priorities from the perspective of a borrower as well as that of a lender
- Highly practical exposure to structured commodity trade finance
- Understanding of importance of documents of title and underlying transportation arrangements
- Appreciation for role of Insurance products in risk mitigation
- A view of the application of exchange-traded instruments for price risk management
- Acquire a global view of Structured Trade Finance practices in the commodities space

Methodology

This course uses a mixture of presentations and many practical examples so you gain a comprehensive understanding of structured trade and commodity finance.

Course objectives

This course is designed to appeal to professionals interested in risk management and financing of physical flows of commodities. The course will be delivered at an intermediate level. Participants are expected to be knowledgeable about trade finance products, letters of credit and international trading practices. Coverage will tilt towards financing of emerging markets business. Case studies and real-life illustrations will be used frequently to emphasise learning points.

For more information on this training course please email emea@euromoneytraining.com or call +44 (0)207 779 8543.

Official Website: http://www.euromoneytraining.com/Course/4589/Financial-Training-Europe/CourseInfo.html

Added by Euromoney Training on June 11, 2012

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