Key details
Mode of delivery: Online Course
Course code: AFB61EO
Duration: 1 day
Fee: £740.00 + VAT
CPD Hours: 6
Course Overview
This module examines the FX market, instruments used, and strategies to manage currency exposure.
Agenda
Currency Markets and FX Risk
- FX Markets and Participants
- Spot, Forward, and Options Contracts
- FX Risk Hedging
Course Review
- Summary and recap of key learning objectives
- Action Planning
Target Audience
This course is suitable for:
- Equity, Fixed Income, Investment, and Portfolio Analysts
- Portfolio, Asset, and Wealth Managers, and Investment Advisors
- Treasury Professionals and Managers, FX Professionals and Dealers, and Corporate Treasurers
- Market Risk, Credit Risk, Operational Risk, and Enterprise Risk Professionals
- Derivatives, Middle Office, Clearing Risk, and Market Infrastructure Operations Specialists
- Compliance Officers, Financial Controllers, Finance Managers, and Banking Professionals
- Quantitative Analysts and Risk Budgeting Professionals
- Chief Risk Officers, Heads of Risk Management, and Senior Risk Decision-Makers
Learning Outcomes
By the end of this course, you will be able to implement a successful strategy that enables you to:
- Describe how currencies are traded and by whom.
- Differentiate FX instruments and their applications.
- Design basic hedging strategies using forwards or options.
Course dates
Aug 11, 2026
Dec 15, 2026
