Course ObjectivesThis intermediate trade finance program aims at raising competencies of trade finance professionals and corporate bankers (RMs) in managing trade finance portfolio business and risks. Participants will acquire the technical knowledge and global perspectives of strategic trade finance risk management in breadth and depth so that they can assist in minimizing risks and maximizing profit for banks.
Learning Outcomes
At the end of the program, participants will be able to:
o Apply the strategic trade finance risk management framework in managing trade finance risks at macro and micro-level; o Apply the knowledge of risk management associated with documentary collections and relevant topics; o Apply the knowledge of risk management associated with documentary credits, relevant topics, trade finance operations policies; and o Identify trade finance credit risk and operations risk with proper credit evaluation in the credit papers with a standard format. |
The faculty
|
The trainer trained practitioner with about 28 years of intensive banking experience. His experience includes trade finance operations, structured trade & commodity finance, SME and corporate banking lending, aircraft financing, ship financing, and loan syndication. He had held VP(H) & Group Head/Team Head appointments in both Singapore and American banks. He has 27 years of training corporate and commercial banking managers and trade finance managers and specialists.
Request for more information, please contact: Blake King General Manager Blake.king@thedragonbanker.com |
|