Post-drawdown monitoring
After drawdown: write monitoring as triggers
A monitoring sheet with frequency, thresholds, and owners across liquidity, collections, leverage, and customer concentration.
Professional notes
Notes on cross-border finance, cash flow, credit materials, market risk, and post-drawdown monitoring. Every exercise is labelled as an example and does not claim client or employer results.
Post-drawdown monitoring
A monitoring sheet with frequency, thresholds, and owners across liquidity, collections, leverage, and customer concentration.
FX and interest-rate risk
A risk-register approach to foreign-currency receipts, payments, and floating-rate borrowing, including tenor mismatches and scenario tests.
Credit materials
A pre-submission review connecting facility purpose, requested limit, repayment source, and risk controls to supporting evidence.
Cash flow
A practical 13-week cash-flow method for connecting receipts, payments, and debt service to the timing of a funding gap.
Cross-border finance
A relationship manager’s view of how credit materials, trade finance, and regional coordination connect to a business financing request.