Thompson Rivers University (TRU)
Kamloops, British Columbia, Canada
Assistant Professor Finance
1
Timeline
  • January 20, 2025
    Experience start
  • February 28, 2025
    Fortnightly report
  • April 1, 2025
    Experience end
Experience
9 projects wanted
Dates set by experience
Preferred companies
Anywhere
Any company type
Any industries

Experience scope

Categories
Financial services Investment Risk, audit and compliance Economics
Skills
international finance finance market trend international financial management risk analysis foreign direct investments corporate governance foreign exchange markets operations
Student goals and capabilities

This experience is designed for fourth-year finance students specializing in International Financial Management. Learners have developed a strong understanding of foreign exchange markets, exchange rate theories, international investment strategies, and international corporate governance. They are equipped to apply this knowledge to real-world projects, offering insights into global financial operations and strategies. By engaging with industry professionals, students can bridge theoretical concepts with practical applications, enhancing their readiness for the global finance sector.

Students

Students
Graduate
Intermediate levels
44 students
Project
25 hours per student
Level UP Teams assign students to projects
Teams of 5
Expected outcomes and deliverables
  • Comprehensive analysis of foreign exchange market trends
  • Strategic report on international investment opportunities
  • Evaluation of corporate governance practices in a multinational context
  • Risk assessment report for currency fluctuations
  • Presentation on exchange rate determination theories
Project timeline
  • January 20, 2025
    Experience start
  • February 28, 2025
    Fortnightly report
  • April 1, 2025
    Experience end

Project Examples

Requirements
  • Analyze the impact of recent geopolitical events on foreign exchange rates
  • Develop a strategic investment plan for entering an emerging market
  • Assess the corporate governance structure of a multinational corporation
  • Conduct a risk analysis for a company with significant foreign currency exposure
  • Evaluate the effectiveness of a company's hedging strategies against currency risk
  • Research and present on the implications of a new international financial regulation
  • Analyze the financial performance of a company in a foreign market
  • Develop a case study on a successful international merger or acquisition