Demo Webinar Replay

FX Cash Flow & Back Office Demo

Aired Tuesday, June 13th | 11:00am ET | 8:00am PT

With increased foreign exchange volatility expected to continue for the foreseeable future combined with rising hedging costs, FX Risk Management is proving to be one of the most difficult objectives handed down from the office of the CFO.

How do Treasurers and FX teams tackle this objective effectively?

Join us for a live demonstration and part-two of how Kyriba can seamlessly aggregate your cash flow FX exposures, automate hedge recommendations and streamline your back-office operations.  

Topics to be covered:

  • Best practices to streamline the aggregation of your cash flow exposures
  • How to automate your hedging & trade execution processes
  • How to streamline your hedge accounting & back-office operations and manage the processes without the need for costly outsourcing

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