Treasury Products and Risk Management Training Course in Paris

BMC Training provides Treasury Products and Risk Management Course in Paris.There are 11 sessions for the course Treasury Products and Risk Management in Paris , France.

Treasury Products and Risk Management Training in Paris , France

Course Address : Hotel Alfred Sommier-20 Rue de l'Arcade, 75008 Paris - Course Fees : 6100 GBP

City Start Date End Date View
Paris , France 1 - 10 - 2023 5 - 10 - 2023
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Paris , France 15 - 10 - 2023 19 - 10 - 2023
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Paris , France 12 - 11 - 2023 16 - 11 - 2023
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Paris , France 10 - 12 - 2023 14 - 12 - 2023
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Paris , France 17 - 12 - 2023 21 - 12 - 2023
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Paris , France 7 - 1 - 2024 11 - 1 - 2024
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Paris , France 11 - 2 - 2024 15 - 2 - 2024
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Paris , France 25 - 2 - 2024 29 - 2 - 2024
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Paris , France 24 - 3 - 2024 28 - 3 - 2024
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Paris , France 14 - 4 - 2024 18 - 4 - 2024
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Paris , France 28 - 4 - 2024 2 - 5 - 2024
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The course outlines of Treasury Products and Risk Management Training in Paris

The Course Outlines:

Treasury Risk Management

  • Role of the treasurer
  • Role of the CFO
  • Functions of a treasury
  • Profit centres and cost centres
  • Netting and in-house banks
  • Importance of policies, procedures and risk management controls

Treasury Solutions – Currency Risk

  • Client exposure management
  • Hedging solutions - market
  • spot foreign exchange
  • base and variable currencies
  • cross rates
  • forward foreign exchange
  • forward pricing
  • forward points
  • foreign exchange swaps
  • currency swaps
  • exchanges of principal
  • gross and net settlement of differentials
  • relationship to forward market
  • advantages over forward market
  • currency options
  • comparison with the forward market
  • ‘Natural’ hedging

How Hedging Works

  • Identifying and analysing risk
  • types of risk
  • long and short positions
  • Hedging
  • physical delivery
  • contracts for differences
  • the importance of carry
  • put/call parity
  • the role of leverage in derivatives hedges
  • OTC and exchange traded products
  • how initial and variation margins work
  • Herstatt risk
  • DVP, PVP & CLS Bank
  • symmetrical and asymmetrical risk management
  • equal and opposite positions
  • correlation and partial hedges
  • when is a hedge a speculative position?
  • IAS 39

Evaluating the Benefits of Treasury Management

  • Evaluating upside and downside risks
  • Advising clients on risk management
  • Managing costs

Money Markets and Interest Rate Risk

  • TBills, CDs, CP, ABCP
  • IBORs, IBIDs, IMEANs and the interbank money markets
  • Repos, Securities Lending and Sell/Buy backs
  • Day count conventions: act/360, 30/360, act/act ....
  • Discounts and yields
  • Present values, future values, IRRs, YTMs and AICs
  • ICMA 803.1 & 803.2

Understanding Money Market/Swap Market Yield Curves

  • Liquidity preferences
  • Preferred habitats
  • Market expectations
  • Market segmentation
  • Efficient markets?