Trade and Receivables Finance Companion

Trade and Receivables Finance Companion

A Collection of Case Studies and Solutions

Jones, Stephen A.

Springer Nature Switzerland AG

08/2021

435

Mole

Inglês

9783030251413

15 a 20 dias

706

Descrição não disponível.
1. Conflicting needs: the need for risk mitigation and finance.- 2. The trade cycle: construction and facility calculation.- 3. Bills of lading: exercising control.- 4. Advance against collections: an alternative to the overdraft.- 5. Letters of credit for import: protecting the applicant.- 6. Letters of credit for export: protecting the beneficiary.- 7. Letter of credit non-bank issuer: risk appreciation and negotiation.- 8. Standby letters of credit: protecting the applicant and issuing bank.- 9. Advance payment guarantee: Applicant risk mitigation and clause construction.- 10. Back to back guarantees: managing risk.- 11. Pre-export finance: use of documentation to mitigate performance risk.- 12. Pre-shipment finance: funding the manufacturer.- 13. Stock: structuring financing solutions.- 14. Commercial terms: evaluation.- 15. Credit insurance: evaluating cover.- 16. Receivables finance: formulating the facility structure.- 17. Specific insured debt purchase: structuring asolution to meet the client's needs.- 18. Financing the importer: structuring payables finance.- 19. Supporting the middle-party: minimising risk exposure.- 20. Discount purchase: reducing the facility requirement.- 21. Commodity finance: financing the trade cycle.- 22. Trade & receivables finance: structuring a compelling client focused solution.
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International trade;credit risk;Liquidity risk;Working capital financing;Trade credit;Trade cycle;Risk case studies;Case studies;letters of credit;banking