The FX Risk Training provides participants with essential knowledge to identify, assess, and mitigate foreign exchange risks.
It covers the fundamentals of FX risk, currency market operations, and the types of FX exposure.
Key topics include risk identification, measurement techniques, and hedging strategies such as forward contracts and options. The training also introduces tools for managing FX risk and includes real-world case studies. It's designed for finance professionals, treasury managers, and risk analysts involved in managing currency fluctuations.
The Interest Rate Risk Training provides participants with essential knowledge to identify, measure, and manage risks from fluctuating interest rates.
It covers key topics such as types of interest rate risk, market drivers, risk measurement techniques (e.g., duration and gap analysis), and hedging strategies using swaps, futures, and options.
The course also includes tools for risk management and real-world case studies. It is designed for finance professionals, risk managers, and treasury staff managing interest rate exposure.