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The Foreign Exchange Markets and Currency Risk Management course in Geneva is designed to provide professionals with the knowledge and tools to navigate FX markets and manage currency risks effectively.

Geneva

Fees: 6600
From: 06-04-2026
To: 10-04-2026

Foreign Exchange Markets and Currency Risk Management

Course Overview

Foreign exchange markets are the largest and most liquid in the world, impacting global trade, investment, and corporate performance. This Foreign Exchange Markets and Currency Risk Management Training Course provides participants with practical insights into FX markets, exchange rate dynamics, and currency hedging tools.

Through simulations, case studies, and applied exercises, participants will explore the mechanics of spot, forward, swap, and options markets, while also designing risk management strategies that protect corporate profits from currency fluctuations.

By completion, learners will be equipped to evaluate currency exposures, apply hedging strategies, and integrate FX risk management into corporate financial strategy.

Course Benefits

  • Understand FX market structures and trading mechanisms.

  • Analyze exchange rate movements and economic drivers.

  • Apply forwards, futures, options, and swaps for hedging.

  • Manage corporate exposure to currency volatility.

  • Strengthen global financial risk strategies.

Course Objectives

  • Explore the fundamentals of FX markets and instruments.

  • Analyze exchange rate determination and volatility.

  • Design hedging strategies using derivatives.

  • Manage transaction, translation, and economic exposures.

  • Evaluate risks of cross-border operations.

  • Integrate FX risk management into financial planning.

  • Anticipate trends in global currency markets.

Training Methodology

The course uses expert lectures, live case studies, FX trading simulations, and group workshops. Participants will practice designing hedging strategies and evaluating real-world scenarios.

Target Audience

  • Treasury and finance professionals.

  • Corporate risk managers.

  • Investment and portfolio managers.

  • Traders and banking professionals in FX markets.

Target Competencies

  • FX market analysis.

  • Currency risk assessment.

  • Hedging strategy design.

  • Global financial management.

Course Outline

Unit 1: Fundamentals of Foreign Exchange Markets

  • Structure and participants of FX markets.

  • Spot, forward, and derivatives markets.

  • Exchange rate systems and regimes.

  • Global FX market trends.

Unit 2: Exchange Rate Determination and Analysis

  • Economic and financial drivers of FX rates.

  • Interest rate parity and purchasing power parity.

  • Central bank policies and interventions.

  • Case studies of exchange rate volatility.

Unit 3: Currency Risk Types and Exposures

  • Transaction, translation, and economic exposures.

  • Identifying FX risk in multinational firms.

  • Measuring and monitoring exposures.

  • Red flags in unmanaged FX positions.

Unit 4: Hedging Tools and Strategies

  • Using forwards, futures, and swaps.

  • Options strategies for currency risk.

  • Natural hedging approaches.

  • Case studies of corporate FX hedging.

Unit 5: Corporate Treasury and FX Risk Management

  • Treasury policies and governance.

  • Integrating FX management into business strategy.

  • Managing liquidity and funding in multiple currencies.

  • Best practices in corporate FX operations.

Unit 6: Risk Measurement and Performance Evaluation

  • Value-at-Risk (VaR) for currency portfolios.

  • Stress testing and scenario planning.

  • Assessing hedging effectiveness.

  • Reporting FX risk to stakeholders.

Unit 7: Future Trends in FX Markets and Risk Management

  • Digital currencies and central bank digital currencies (CBDCs).

  • Fintech innovation in FX trading.

  • ESG and sustainability in global finance.

  • Preparing for future currency disruptions.

Ready to master FX markets and currency risk?
Join the Foreign Exchange Markets and Currency Risk Management Training Course with EuroQuest International Training and gain the tools to protect your organization in global markets.

Foreign Exchange Markets and Currency Risk Management

The Foreign Exchange Markets and Currency Risk Management Training Courses in Geneva provide professionals with a comprehensive understanding of global currency markets, exchange rate behavior, and strategies for managing exposure to foreign exchange (FX) volatility. Designed for financial managers, treasury professionals, risk analysts, corporate bankers, trade finance specialists, and international business leaders, these programs emphasize practical techniques that support stable financial performance in cross-border operations.

Participants explore the structure and functioning of foreign exchange markets, including spot, forward, swap, and options transactions. The courses highlight how macroeconomic indicators, interest rate movements, geopolitical developments, and market sentiment influence exchange rate fluctuations. Through applied case studies and market analysis exercises, attendees learn to interpret currency trends, forecast exchange movements, and assess how FX exposure affects corporate financial results.

These currency risk management training programs in Geneva also address tools and methods for mitigating exchange rate risks. Participants examine hedging instruments, natural hedging strategies, cash flow exposure management, balance sheet translation considerations, and pricing strategies in international trade. The curriculum emphasizes how organizations can design FX policies that align with financial objectives, operational realities, and risk tolerance levels.

In addition, the programs explore the integration of digital platforms and data analytics into FX decision-making. Participants gain insight into automated trading systems, real-time market monitoring tools, and treasury risk dashboards that enhance execution speed, transparency, and accuracy.

Attending these training courses in Geneva offers professionals the advantage of learning in a globally connected financial environment recognized for international banking, wealth management, and cross-border financial expertise. By completing this specialization, participants will be equipped to evaluate foreign exchange exposure, develop structured risk mitigation strategies, and support informed financial decision-making—strengthening organizational resilience and strategic flexibility in diverse and dynamic global markets.