3rd Annual Oil & Gas Contract Risk Management Forum

Организаторы: Marcus Evans
Место проведения: A Five Star Venue To Be Announced Shortly, Amsterdam, The Netherlands
With the credit crisis posing strain to project funding combined with global reserve exploration into deeper and more volatile locations, projects are becoming larger, costlier and far more risky. This is reflected in the contracting market environment, which is steadily becoming harder to navigate for both parties involved.
Difficulties arise in the assurance that your contractual partners are working effectively, or in today’s market even the risk of managing counterparty credit risks has added real pressure to your legal agreements.
Implementing a structured contract risk management process will enable more effective management of the throughout its entire lifecycle. Contractual compliance, mitigating disputes, and being better prepared for unforeseen variations will enable all parties involved to better manage projects risks, over spending and client relationships.
Large amounts of both time and money can be saved through correct contract risk management.
Key topics for this year’s agenda include:
* Contract Risk Compliance – managing the whole lifecycle of the contract and ensuring it complies with all departments and thus better mitigating risks
* Procurement contracts — Contract risk management is not just about the risks between the contractors and operators but there are also risks posed from other contracts such as procurement contracts
* Risk Allocation
* Contractual relations
Key Speakers
John Oliver
Principal Project Manager, BG Group, UK
Reinier Nijmeijer
Associate General Counsel EP Business Development, Shell International B.V.
Paolo Rossi
GESDO Development & Operations Management Systems , Eni S.p.A., Italy
Lars Christian Eriksen
Legal Counsel, Technip Norge AS
Jurgen Vesterink
Manager Contracts Department, FLUOR B.V.
Key Topics
# Achieve an insight into FLUOR B.V.’s management of sub-contract risks
# Profit from Technip Norge’s balanced system method to manage variation order mechanisms
# Review Eni’s qualitative and quantitative risk assessment approach
# Gain from BG Group’s experiences in sustaining contract risk compliance
# Capitalise from other leading case studies from Shell, Foster Wheeler, Petrofac, Alstom Power and E.on
Key Features
# Profit from the latest operator and contractor case studies
# Optimise the value of your contract and sustain compliance through technological investments and portfolio management approaches
# Discover contractual variations through order mechanisms and change management
# Overcome the impacts of unforeseen and changing circumstances
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