Trade Risk Management and Analysis Course
Master trade risk management for foreign trade deals. Learn to assess country and buyer credit risk, structure secure contracts, use LCs and guarantees, hedge FX exposure, and protect margins in real cross-border transactions.

4 to 360 hours of flexible workload
valid certificate in your country
What Will I Learn?
The Trade Risk Management and Analysis Course gives you practical tools to evaluate country, sovereign, and buyer credit risk, with a special focus on Turkey. Learn to use ratings, macro indicators, LCs, guarantees, export credit insurance, and hedging strategies to control currency and interest rate exposure, structure secure contracts under Incoterms 2020, and strengthen pricing, documentation, and internal controls for safer, more profitable transactions.
Elevify Differentials
Develop Skills
- Master trade finance tools: structure LCs, guarantees, and insurance to cut risk.
- Evaluate buyers fast: read financials, set limits, and control cross-border credit.
- Analyze country risk: use ratings and macro data to judge Turkey payment safety.
- Hedge FX and rates: apply forwards, swaps, and options to protect export margins.
- Build CIF-ready deals: align contracts, Incoterms, logistics, and documents.
Suggested Summary
Before starting, you can change the chapters and workload. Choose which chapter to start with. Add or remove chapters. Increase or decrease the course workload.What our students say
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