This course equips debt managers with the tools needed to efficiently manage government debt. It includes the Debt Management Performance Assessment to evaluate functions through performance indicators and the Medium-Term Debt Management Strategy training, focusing on portfolio analysis and strategy creation. The course also delves into domestic debt market development, covering instrument choice and issuance mechanisms, as well as the legal aspects of external debt obligations like contract negotiation and restructuring. Participants are guided through the international bond issuance process and strategies for managing fiscal risks from contingent liabilities. This comprehensive training helps debt managers analyze, price, and manage risks related to guarantees to state-owned enterprises and other non-central government debt.
Delivery Mode
In Person