We can provide:
A large consumer products manufacturer had established a regional treasury in Eastern Europe. The treasurer wanted the highly motivated and educated staff to understand the concepts of modern treasury management.
We covered many of the concepts of cash and risk management focusing particularly on the context of treasury, allowing the team to offer a better service to its in-house customers.
This multinational freight forwarding company wanted to better understand its foreign exchange exposures. Its focus was on accounting.
We taught them to analyse the business and especially how FX rates affect the business model. This allowed them to modify their hedging practices, ensuring they are in line with the business model, explain clearly to management and reduce unexpected gains and losses.