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- Lesson Overview
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Watch this tutorial to understand the value of building a Portfolio Risk Analysis, to create a balance between risk and collections. It will also help you calculate bad-debt loss reserves to get accustomed to the new normal in business amidst this Global Pandemic. As a manager, changing with times is a must to avoid putting your credit at a risk.
Coming Soon
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Instructor
ROBERT SHULTZ · Founder, Quote to Cash Solution
Robert Shultz has had a thirty-year career as a global credit and financial executive for large multi-national companies. As a Founding Partner of Quote to Cash Solutions (Q2C) LLC, he provides consulting services in all aspects of the credit and collections process for companies of all sizes in a variety of industries.
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B2B Portfolio Risk Analysis During a Recession
Learn all about portfolio-risk analysis, corporate credit analysis and bad-debt reserve calculation and estimates for credit managers
Curriculum90 Mins
-
The ABCs of Portfolio Risk Management ( ~30 Mins)
-
Preview
Overview of Trade Credit Portfolio Management
-
3 Strategies to Reduce AR Portfolio Risk
-
3 Ways to Assess the Probability of Default and Manage Credit Limits
-
Risk Mitigation and Exposure Collateralization 101
-
The 6 Step AR Portfolio Risk Analysis Cycle
-
Assessing Trade Credit Risk Through Portfolio Segmentation ( ~60 Mins)
-
How to Identify Risk Categories In Your AR Portfolio
-
The 5 Types of Risks Within an AR Portfolio
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Business Environment Risks: AR Portfolio Management
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Financial Sustainability Risk: AR Portfolio Management
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Liquidity Risks: AR Portfolio Management
-
Management and Legal Risks: AR Portfolio Management
-
AR Portfolio Risk Landmines to Watch Out For
-
Final Assessment
-
Quiz: B2B Portfolio Risk Analysis During a Recession
-
Curriculum90 Mins
-
The ABCs of Portfolio Risk Management ( ~30 Mins)
-
Preview
Overview of Trade Credit Portfolio Management
-
3 Strategies to Reduce AR Portfolio Risk
-
3 Ways to Assess the Probability of Default and Manage Credit Limits
-
Risk Mitigation and Exposure Collateralization 101
-
The 6 Step AR Portfolio Risk Analysis Cycle
-
Assessing Trade Credit Risk Through Portfolio Segmentation ( ~60 Mins)
-
How to Identify Risk Categories In Your AR Portfolio
-
The 5 Types of Risks Within an AR Portfolio
-
Business Environment Risks: AR Portfolio Management
-
Financial Sustainability Risk: AR Portfolio Management
-
Liquidity Risks: AR Portfolio Management
-
Management and Legal Risks: AR Portfolio Management
-
AR Portfolio Risk Landmines to Watch Out For
-
Final Assessment
-
Quiz: B2B Portfolio Risk Analysis During a Recession
-