Already ten years ago ….
Ten years after the core of the last « once-a-century » financial crisis, which changes did our Multinational Companies experiment in term of financial risks exposure ? which new issues do they have to face ? why and how ?
Encompassing the largest scope of the international financial risks, from theory to case studies, this book guide is for the :
Exporting companies exposed to financial risks, from the FX or IR risk to bribery issues, not only to the Financial organizations, Internal Control or Audit departements but although to the Engineers and Sales people.
Banks and Insurance companies,
Students in risks management or in Finance.
Expert en financial risks management, with an international experience of more than 20 years, both in the industry and in the financial sector, Isabelle Guibert is a graduate of Brest Business School, of a PhD in International Finance and Taxes of Lille University, Auditor of the 58th session in Competitive Intelligence of the Institut des Hautes Etudes de la Défense Nationale (IHEDN) and student of the first promotion 2017-2018 in Risks Management, International Safety, Cybersecurity (MRSIC) of the Ecole de Guerre Economique (EGE).