A 12 hour (3-Day) intensive development program that blends the core concepts and theories of international finance with the use of interesting and understandable examples.
The program focuses on management decisions that maximize a firm’s value in an international business environment.
At the end of the program, participants would understand how to optimally make various international financial decisions.
Session I: The International Financial Environment
- Foreign Exchange Market
- Currency Convertibility
- International Monetary System
- International Financial Markets
- Balance of Payments
Session II: Short-term Asset and Liability Management
- Working Capital Management
- International cash management
Session III: Long-term Asset and Liability Management
- Country risk analysis
- Long-term financing