Evaluate corporate liability products, analyze trade finance instruments, and apply working capital financing concepts in corporate banking. This course equips learners with practical knowledge of deposit mobilization, CASA growth strategies, and structured corporate banking solutions. Participants will examine current accounts, fixed deposits, salary accounts, Letters of Credit, Bank Guarantees, factoring, and Buyer’s and Supplier’s Credit within real-world corporate banking scenarios. By completing this course, learners will strengthen their understanding of how banks build stable funding bases, mitigate trade risk, and optimize corporate liquidity management. The course bridges foundational deposit products with advanced trade finance solutions, offering a comprehensive view of liability-side banking operations. What makes this course unique is its integrated approach—combining core deposit products with trade-based instruments and working capital financing in one structured learning journey. Designed for banking professionals, finance students, and corporate finance practitioners, the course delivers industry-relevant insights aligned with modern corporate banking practices.
What you'll learn
Evaluate corporate liability products
Analyze trade finance instruments
Apply working capital financing concepts
Understand deposit mobilization and CASA growth strategies
Examine current accounts, fixed deposits, and salary accounts
Understand Letters of Credit and Bank Guarantees
Course objectives
Equip learners with practical knowledge of structured corporate banking solutions
Strengthen understanding of trade risk mitigation and corporate liquidity management