Key facts

UNE unit code: AFM335

*You are viewing the 2024 version of this unit which may be subject to change in future.

Start
  • Trimester 2 - On Campus
  • Trimester 2 - Online
Campus
  • Armidale Campus
24/7 online support
  • Yes
Intensive schools
  • No
Supervised exam
  • Yes
Credit points
  • 6

Unit information

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Multinational firms deal with unique challenges that do not generally affect domestic businesses. Financial management in international enterprises involves dealing in multiple currencies with frequent exchange rate movements, differing tax systems, multiple financial markets, interest rate movements and political risks.

Studying this unit will equip you with the skills and knowledge to address these complex managerial issues from an applied perspective.

Focusing on financial decisions in an international context, you will explore working capital management, capital budgeting, cost of capital and financial structure.

You will examine techniques for identifying and responding to social, cultural and political risks in international financial management, as well as hedging strategies for managing foreign exchange risk.

Offerings

For further information about UNE's teaching periods, please go to Principal Dates.

Teaching period
Mode/location
Trimester 2On Campus, Armidale Campus
Trimester 2Online

*Offering is subject to availability

Intensive schools

There are no intensive schools required for this unit.

Enrolment rules

Pre-requisites
AFM231
Restrictions
AFM435

Notes

Please refer to the student handbook for current details on this unit.

Unit coordinator(s)

profile photo of Gabriel Donleavy
Gabriel DonleavyDeputy Head of School - UNE Business School

Learning outcomes

Upon completion of this unit, students will be able to:

  1. demonstrate a broad and coherent understanding of the key concepts underpinning international financing, multinational investment decisions, capital budgeting, foreign direct investment and the techniques of foreign exchange risk management, and evaluate the basic hedging strategies involved;
  2. demonstrate a broad and coherent understanding of the distinction between transaction, operating and translation exposures and discuss their management;
  3. use a range of cognitive and communication skills to review, analyse, consolidate and synthesise relevant information drawn from a range of sources in order to demonstrate critical thinking and judgement in solving complex business-related problems in international financial management, monetary system, foreign exchange market and multinational enterprise environments;
  4. work independently and/or collaboratively to plan and execute tasks to enhance professional knowledge and skills; and
  5. demonstrate the ability to recognise, reflect on and respond to the range of social, cultural or political risk issues relevant to international financial management and the multinational enterprise.

Assessment information

Assessments are subject to change up to 8 weeks prior to the start of the teaching period in which you are undertaking the unit.

TitleMust CompleteWeightOfferingsAssessment Notes
Assignment 1Yes10%All offerings

Essay and quantitative problems.

No. Words: 1000

Assignment 2Yes30%All offerings

Essay and quantitative problems.

No. Words: 3000

Final ExaminationYes60%All offerings

Students must obtain at least 50% in the exam (and at least 50% overall) to receive a pass or better in the unit.

Learning resources

Textbooks are subject to change up to 8 weeks prior to the start of the teaching period in which you are undertaking the unit.

Note: Students are expected to purchase prescribed material. Please note that textbook requirements may vary from one teaching period to the next.

International Financial Management

ISBN: 9780170449014

Madura, J., Hoque, A., and Krishnamurti, C., Cengage 2nd ed. 2022

Text refers to: All offerings

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