Webinar
Mastering Pre-Hedge Strategies Data-Driven FX and Risk Management for 2025
Download the recording of an insightful webinar with Kyriba’s Senior Vice President of FX Solutions and Advisory Services, Andy Gage, and Zanders Director and Head of Zanders’ Financial Risk Management Advisory Practice towards Corporate Clients, Sander de Vries. Together, they discuss the key financial lessons from 2024 and explore how treasurers can prepare for the challenges and opportunities ahead in 2025.
Why Should You Watch?
- 2024 Macroeconomic Review: They explore the major economic shifts over the past year, their impact on FX and IR markets, and the consequential challenges it caused for treasures.
- 2025 Projections: They look ahead to another challenging year, discussing the potential impact of large macroeconomic events, such as the upcoming US elections, on the FX risk landscape. You will gain insight into future trends and discover how companies can adapt their risk management strategies to effectively mitigate their financial risks.
- Optimizing FX Programs and Strategic Hedging: Discover the best practices to accurately automate the gathering and aggregation of your exposure data. We’ll discuss the transition from exposure aggregation to strategic hedging, covering risk responses, dynamic portfolio VaR, and how to integrate FX risk models into your risk management policy. This session can provide a treasurer with the tools to futureproof their FX hedging strategy.
This session is a chance to reflect on the past year’s economic shifts, understand their impact on FX and interest rate markets, and gain valuable insights into what the future holds.
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