FX Risk Management

Eureka Financial
Course summary
Professional Training
1 day
795 GBP excl. VAT
Full time
Online courses
Course Dates
Online courses
795 GBP

Course description

FX Risk Management

A one-day practical course conducted by a senior City Expert that explores FX market and FX risk management strategies. You will have a chance to learn about the market structure and operations, factors affecting price and FX rates, terminology and calculations. You will also learn trading strategies and the nature of FX exposure. Finally, you will learn about FX hedging methods and trading risks and the best global principles for good practices in FX.

The course will be interactive and hands-on, with opportunities to discuss FX issues and it uses actual risk case examples designed to be relevant to the participants’ field of activities.

What you will learn:

After the course, participants will be able to:

  • Have a good knowledge of the market structure
  • Know the basic cash market and derivative trades in FX
  • Select appropriate trades or instruments to meet common strategic and operational requirements
  • Understand the rationale for practitioners when using FX products
  • Execute FX trades with confidence based on a good understanding of the terminology, calculations and practices of the market
  • Be conscious of the various risk issues facing the FX market users
  • Understand the operational risk issues facing FX market users

Suitability - Who should attend?

  • Treasury and other Asset Liability Management executives
  • Central Banks and Government Treasury, and funding managers
  • Insurance company and pension fund investment managers
  • Asset managers and hedge funds
  • Company finance executives and investment bankers
  • Risk managers
  • Finance
  • Auditors and accountants
  • IT professionals

Outcome / Qualification etc.

On completion, you will receive a comprehensive set of course materials and an investment performance measurement, attribution and risk course certificate.

Main topics

  • Market structure and operation
  • Trading strategies and risk management
  • FX hedging methods
  • FX trading risks
  • Operational risk issues in FX operations



Early bird price - £825 + VAT, Register before 22nd April 2022

Regular price - £995 + VAT

About provider

Eureka Financial - Expert in Banking and Finance, Regulatory, Risk and Wealth Management Training.

Eureka Financial is a provider of banking, finance, regulatory, risk and wealth management training courses. We also offer some business management and soft skills training programmes. Based in London, UK, we organise public courses in London as well as tailored in-house...

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Eureka Financial

22 A St Jame's Square
SW1Y 4JH London

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