Attend the Cash Flow Hedging webinar! You're invited to the Cash Flow Hedging webinar! Thursday, October 18th | 2PM Eastern | 1 CPE Credit Program Overview Join us for a live webinar and learn how to hedge and account for forecasted FX revenues & expenses. This 1-hour session covers 4 key learning objectives: Discover the concept of a foreign exchange (FX) cash flow hedge. Explore how FX revenues and expenses impact the financial statements. Recognize the cash flow and accounting implications of cash flow hedges. Identify corporate best practices for hedging forecasted FX transactions. Who Should Attend New and seasoned finance, accounting, treasury, and related professionals (CPA, CIA, CRMA, CFE, etc.) interested in international business. Join Us October 9, 2018By FX Initiative Hedging FX Transactions, Webinar Accounting, Balance Sheet, Cash Flow Hedge, CPE, Derivative, Economics, Expenses, Forecast, Foreign Exchange, Forward Contract, Gain, Hedge, Income Statement, Loss, Revenue, Training, Webinar 0 0 Comment