The collapse of FTX followed by SVB and Signature Banks have renewed concerns with financial executives and the board of how to navigate the coming banking crisis and survive. The course explores the challenges of the current monetary trends, the Federal Reserve, FDIC, insurance reserves, risks and analyzes their impact on you as the financial executive in areas of credit markets and banking; risk management; cash flow planning strategies; debt and equity mix impacts in uncertain markets; globalization of the financial market in times of uncertainty. Specific recommendations and insights will be offered to you to deal with the challenges.
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