Oil and Gas – Finance
Course Information:
Venue: | Duration: | Date: | Price: |
---|---|---|---|
Online | 20 hours | Flexi-date | £2,750.00 |
In-House | Agreed with client | Flexible | POA |
London | 5 days | 15 January 2024 | £4,250 |
London | 5 days | 13 May 2024 | £4,250 |
London | 5 days | 9 September 2024 | £4,250 |
If you are unable to attend this course on the dates above, please contact us to discuss alternative options.
Please note that prices shown above are exclusive of VAT (20%).
If you would like to ask us some questions about this programme, you can fill in our Contact Us form or alternatively use our Chat function by clicking on the WhatsApp icon at the bottom of this page.
We look forward to hearing from you and will be pleased to help you!
Contact us
We look forward to hearing from you and will be pleased to help you!
Contact us
Who should attend?
- Senior managers within the Oil & Gas sector or those identified via organisational talent management for fast track to a senior role
- Public sector officials with responsibility for the state management of Oil & Gas resources
- Engineers and Project Managers who are looking to develop leading edge practice for both themselves and their organisation
Outcomes
- Develop the key components of a financial management systems
- Use knowledge of Financial instruments and their impacts
- Manage: Market risk, Credit risk and Liquidity risk
- Undertake effective financial modelling and scenario planning
COURSE TOPICS:
Key Financial management Systems
- Effective Budget preparation and management
- Cash flow management and forecasting
- Interpreting key financial statements
- Key financial ratios and analysis
Effective Treasury Management
- Overview of global treasury models
- Pure return portfolio structuring
- Pure income portfolio structuring
- Defensive portfolio structuring
The role and impact of financial instruments
- Derivatives
- Bonds
- Options
- Futures
Effective Risk Management
- The key concepts and elements of risk management
- Managing Market Risk
- Managing Credit Risk
- Managing Liquidity Risk
Practical Financial Modelling
- Key principles within Financial Modelling
- Constructing key financial models
- Linkage of models and submodels
- Scenario Planning Applications