Currency and interest rate risk management
Mannheim MannheimIdentifying, limiting and managing potential risks
Identifying, limiting and managing potential risks
Presentation of derivatives and hedging relationships in the balance sheet according to HGB/BilMoG, UGB and IFRS
From theory to risk and return calculation to policy and performance measurement
Exposure determination, risk calculation and strategy development with smart hedging
Identifying, limiting and managing potential risks
Presentation of derivatives and hedging relationships in the balance sheet according to HGB/BilMoG, UGB and IFRS
From simple interest to the valuation of an interest rate swap
From theory to risk and return calculation to policy and performance measurement
Exposure determination, risk calculation and strategy development with smart hedging
Presentation of derivatives and hedging relationships in the balance sheet according to HGB/BilMoG, UGB and IFRS
Comprehensive, practical basic training for day-to-day treasury work
Exposure determination, risk calculation and strategy development with smart hedging
From simple interest to the valuation of an interest rate swap
Around the world of treasury management in two days
The successful development of a modern treasury department
Identifying, limiting and managing potential risks
Identifying, limiting and managing potential risks
Comprehensive, practical basic training for day-to-day treasury work
Identifying, limiting and managing potential risks
Presentation of derivatives and hedging relationships in the balance sheet according to HGB/BilMoG, UGB and IFRS
Exposure determination, risk calculation and strategy development with smart hedging
Comprehensive, practical basic training for day-to-day treasury work
From simple interest to the valuation of an interest rate swap
Around the world of treasury management in two days
Identifying, limiting and managing potential risks
Comprehensive, practical basic training for day-to-day treasury work
Identifying, limiting and managing potential risks
Presentation of derivatives and hedging relationships in the balance sheet according to HGB/BilMoG, UGB and IFRS
Exposure determination, risk calculation and strategy development with smart hedging
Around the world of treasury management in two days
Comprehensive, practical basic training for day-to-day treasury work
From simple interest to the valuation of an interest rate swap
Comprehensive, practical basic training for day-to-day treasury work
From theory to risk and return calculation to policy and performance measurement
From simple interest to the valuation of an interest rate swap
Comprehensive, practical basic training for day-to-day treasury work
Identifying, limiting and managing potential risks
Exposure determination, risk calculation and strategy development with smart hedging
Comprehensive, practical basic training for day-to-day treasury work
Discover the world of treasury management in just two days
What to look out for when setting up modern liquidity planning
Comprehensive, practical basic training for day-to-day treasury work
Exposure determination, risk calculation and strategy development with smart hedging
Identifying, limiting and managing potential risks
Identifying, limiting and managing potential risks
Around the world of treasury management in two days
Presentation of derivatives and hedging relationships in the balance sheet according to HGB/BilMoG, UGB and IFRS
Around the world of treasury management in two days
Comprehensive, practical basic training for day-to-day treasury work
From theory to risk and return calculation to policy and performance measurement
Identifying, limiting and managing potential risks
Identifying, limiting and managing potential risks
Comprehensive, practical basic training for day-to-day treasury work
Identifying, limiting and managing potential risks
Exposure determination, risk calculation and strategy development with smart hedging
Presentation of derivatives and hedging relationships in the balance sheet according to HGB/BilMoG, UGB and IFRS