Forex Risk Manager Management Course

Course Introduction

The course ‘Forex Risk Manager’ offers an in-depth knowledge of currency or exchange risk management – a risk which companies involved in significant international business activities are particularly exposed to.

In particular, it will cover how to manage foreign exchange risk and how to carry out Forex trades, so you will be able to take over a role of responsibility in managing transactions on financial markets within companies with a strong exposure to foreign currencies.

Who is this course for?

This course is for managers and aspiring managers who want to build their knowledge in the financial field and acquire specific skills in currency risk management, with the aim of holding a role of responsibility within companies operating in international markets.

What skills will you acquire?

With this course you will acquire the following skills:

  • Knowledge of foreign currency risk
  • Ability to assess and mitigate the risks associated with Forex trading
  • Strategic and organisational skills applied to currency risk management
  • Performing stress testing and scenario analysis in adverse market conditions

Why join this course?

This course allows you to gain the skills required to join financial institutions or commercial companies or to become an independent financial advisor.

Training programme

The training course ‘Forex Risk Manager’ includes:

1. INTRODUCTORY MATERIAL in digital format

2. 6 FULL-IMMERSION TRAINING DAYS from 21 to 26 October 2024 in Rome

3. 3-month INTERNSHIP at a financial institution or commercial company

4. ProPLACEMENT SERVICE (your updated resume will be shared with our partner companies)

Study path

  • The position as Forex Risk Manager within companies
  • Forex and currency risk
  • Risks related to foreign exchange risk (translation risk, transaction risk, economic risk)
  • Corporate risks related to foreign exchange risk (cash flows, profits, competitiveness, credit risk)
  • Risk analysis and strategic assessment so as to choose the right financial risk mitigation instruments

Minimum access requirements

First-level degree in mathematics, physics, statistics, computer science, engineering, economics.

Good command of English.

Partner
  • TradingView Partner