Why take this accelerated training on foreign exchange risk management?
Join us on February 23 for this basic training session to find out more about foreign exchange risk, how to identify it, evaluate it and neutralize it to succeed in your international operations. All this, with the help of examples and case studies.
Foreign exchange risk usually relates to foreign currency payables or receivables generated as a result of contracts already signed (or to be signed) by the company. The exchange rate fluctuations could force the company to convert its foreign currency under less favourable conditions than originally budgeted. A great management of the foreign exchange risk is important, especially in a context of uncertainty.
This accelerated training will allow you to:
- Identify some risks related to currency fluctuations ;
- Know the impacts on your international operations;
- Discover available hedging strategies to mitigate risk.
Who is this accelerated training session for?
- Companies wishing to export;
- SMEs beginning to expand internationally;
- Business leaders;
- Vice-presidents and CFOs;
- Business development managers;
- Contract and project managers.