Treasury Risk Management and Hedging Techniques Training Course

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Duration

3 Days

Course Overview

This professional course focuses on how treasury teams manage financial risks, including foreign exchange, interest rates, and commodity exposure. Through real-market data exercises and case-driven discussions, participants will learn hedging strategies and develop internal frameworks to measure and monitor treasury risk.

Format of Training
  • Live market data simulations
  • Structured risk assessment workshops
  • Hands-on derivative application exercises
  • Risk dashboard and reporting walkthroughs
Course Objectives
  1. Identify types of financial risks affecting treasury
  2. Map exposures and quantify their impact
  3. Understand and apply derivatives like forwards, swaps, and options
  4. Develop a treasury risk policy and hedging strategy
  5. Evaluate hedge effectiveness and compliance needs
  6. Use reporting tools to monitor and communicate exposures
Prerequisites

Course Outline

Day 1: Understanding Treasury Risk

  • FX, interest rate, and counterparty risks
  • Risk quantification techniques and metrics
  • Exposure identification across business units

 

Day 2: Hedging Strategies and Instruments

  • Forwards, futures, swaps, and options
  • Hedging cost vs protection trade-off
  • Hedge accounting and documentation

 

Day 3: Risk Monitoring and Governance

  • Policy creation and risk appetite framework
  • Risk dashboards and limit monitoring
  • Reporting to management and regulators

Bespoke Option

We are open to customizing this program to align with your specific learning objectives. If your team has particular goals or areas they wish to focus on, we would be happy to tailor the course outline to meet those needs and ensure the program supports the achievement of your desired outcomes.

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Course Name: Treasury Risk Management and Hedging Techniques Training Course