This specialized module is tailored to support learners in grasping the correct methods for underwriting asset-based collateral. With a focus on exit strategy configuration, historical financial information analysis, and risk management, this module provides critical insights for underwriters in the field of asset-based lending.
Milestone Assessments
Revision Slides
Final Assignments
Certificate of Completion
What you are going to learn
A few more words about this course
This module builds on the foundation previously set, diving into the specifics of underwriting in the asset-based lending domain. By covering essential concepts and providing practical tools, this module prepares learners to effectively assess and manage asset-based collateral.
Learning Outcomes:
Exit Strategy Configuration: Learn how to configure and evaluate an exit strategy when underwriting the Asset-Based Lending facility, ensuring a strategic approach to risk mitigation.
Financial Analysis: Develop the ability to analyze historical financial information and extrapolate the analysis to assess profitability and cash flow projections, providing a solid foundation for decision-making.
Risk Management: Acquire the skills needed to manage the unique risks inherent in asset-based lending, leading to more informed and resilient underwriting practices.