SUMMARY

This is a brand new two-day training course for the marine fuel market, which introduces bunker risk management best practices to delegates by teaching analytical approaches and hedging skills.

The trainer will share a host of practical tools that will help a business reduce and manage its risk whilst improving profit in its inventory and supply chain.

Key Learning Outcomes

• By learning how to manage price bunker risks using specific tools that are available to you in the market, participants will add a new layer to their business skill-set
• Overview of the marine fuels market (pricing hubs, clearing collateral)
• Gaining insights into various risk dimensions in oil markets
• Getting acquainted with important environmental issues and their impact on oil markets
• Understanding energy price behaviors
• Understanding bunker credit risks
• Understanding risk management aims and goals
• Learning and applying cutting edge Hedging methods and techniques

Target Audience

• Bunker Credit Managers
• Head of Trading Teams
• Regional Sales Directors
• Finance Executives within fuel buying organisations
• Brokers
• Bunker traders
• Charterers
• Fuel Suppliers
• Shipowners/Operators
• Classification Societies
• Insurers
• Maritime Lawyers
• Ports and Harbour Authorities

INVESTMENT

SGD 3,295 per delegate (Classroom training)

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