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Risk Management

This new version of the Risk Management Club has surely been a success. The seminar was attended by 36 participants who appreciated very much the whole seminar. Presentations, case studies and analysis were welcomed by the participants who appreciated very much the workout sessions, allowing them to exchange also their practical experiences. And to make it also fun to attend, the participants enjoyed a "Cabaret" evening on the 2nd evening of the seminar.

  • RM08 - Listing of participants
  • RM08 - Agenda

Presentations made during the meeting:

  • Understanding Risk in the Internal and External environment (R Hawkins)
  • Audit Case Study (R Hawkins)
  • Debt Course Spreads V2 (R Hawkins)
  • Audit Techniques (R Hawkins)

  • General Aspects of Client Risk in Factoring, Invoicing and ABL (T Lodge)

  • Client Risk Management in 2-Factor Environment (D Hardt)

  • Risk Management in an Opaque Environment: The Russian lessons (C Robu)

RM08-p1rm08-P2

Pictures taken during the meeting:

  • Risk Management 2008 pictures of seminar (.zip file of 64 Mb)
  • Risk Management 2008 pictures of evening (.zip file of 35 Mb)

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The industry of Factoring, Invoice Discounting, Asset Based Lending is in constant move. New market entries, mergers and acquisitions, new product offerings: new risks but also new opportunities. Managers in this Finance Industry operate in a very competitive environment where wars are fought every day over a few basis points of interest. But at the same time, the risks have to be kept under control. A strategic approach to Risk Management is therefore absolutely necessary.

Recognizing that there were no dedicated training courses available for Risk Management in the Receivables Finance Industry, the International Factors Group decided to organize its first Risk Management Seminar where participants can share experiences, learn from their international colleagues and gain new insights in an informal environment. This seminar is very much a practical, hands-on approach to the management of risks we all face every day in the asset financing industry.

  • In the first part of this seminar, subjects include collateral and financial analysis, audit procedures, the detection and prevention of fraud, exit strategy and making successful recoveries.
  • The second part of the seminar focuses on risks in international factoring in general and in the two-factor environment in particular.

For more details on the venue, please refer to the program and booking forms:

Use the online booking form to make sure you do not miss this opportunity.

We are all looking forward to meeting you in Essen ! ¨

in case you would encouter problems with the online booking, please use the manual registration form available.

 
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