Along with the development of international trade and the intensified competition in the banking sector, international trade financing has become a financial business which focused on by domestically commercial bank. However, several of risks are hiding in trade financing business continuously .the trade risks from import and export enterprise will directly pass the burden to the bank on if we can not control it.In view of above, this paper, a combination of theory and practice of research methods , On the basis of H Bank and it's international trade financing risks faced by an in-depth analysis and discussion, and the corresponding advice and countermeasures are suggested. The main subject of the paper lists as follows: First, the paper introduced the reach's background and significance, research ideas and methods to study the content and framework, as well as the potential contribution of paper; then paper to quantify the risk from a commercial bank management and trade finance risk management point of view, previous studies on fully elaborated; Then, analysis of the risk of international trade finance bank in the main analysis of the H Bank trade financing products, distribution and extent of risk; Finally, risk analysis in the foregoing on the basis of the papers on the H bank how to prevent the risk of trade finance banks in the encounter in the course of the credit risk, operational risk and exchange rate risks discussed in depth.As the object of study H bank, The paper research theinternational trade financing risks from the perspective of the banks risk management ,It not only enrich the theory of financial risk management of commercial banks operating in the real practice is equally important reference and guide. |