The rapid escalation of FX volatility, in combination with sudden moves by the Fed & other central banks, has hatched a new market reality. Contemporary treasury teams are untangling this enigmatic reality using advanced analytics, and reassessing whether their hedging program should be even more calibrated, to take advantage of the new currency market conditions. In this webinar, you will learn:
- How companies can quickly assess the impacts of increased currency risk
- How treasury teams can find opportunities to optimizes hedge program costs
- What treasury teams can do to navigate this new market reality
- Ways to keep the C-Suite well informed and confident in your team
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Presenters
Andy Gage
VP, FX Risk Management Solutions, Kyriba
Chad Wekelo
Principal, Actualize Consulting
Brian French
Director, Center of Excellence, Kyriba