Tallinn, Estonia  ·  Libreville, Gabon contact@carmagnole.eu  ·  +372 5355 0223
Risk and control

Managing financing risk: classic credit, lease purchase and long term leasing

Duration3 days (21 hours)
LevelAdvanced
FormatIn person, Remote, Blended

The programme treats financing risk across classic lending and leasing structures, which behave very differently once a file deteriorates.

Participants review risk governance, prudential classification and provisioning, and the specific exposures created by ownership of the financed asset. Scoring, rating, key risk indicators and early warning arrangements are examined as a connected chain rather than isolated tools.

The programme ends with a simulated risk committee in which participants defend positions on real style cases. Participants leave better able to anticipate deterioration and to argue a decision under pressure.

Who it is for

Risk analysts, credit officers and managers handling lending and leasing portfolios.

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