Centralizing FX Treasury Capabilities Centralizing FX Treasury Capabilities (Video): Discover how centralized FX risk management functions provide global firms with greater visibility across the enterprise. This video is a preview of FX Initiative’s FX Risk Management course as part of Learning Objective #1. To learn more, start your FX risk management training today, which provides 24/7 365 access to our complete suite of foreign exchange (FX) continuing professional education (CPE), examples & events at FXCPE.com. Start FX Training August 15, 2023By FX Initiative FX Risk Management accounting, business, corproation, CPE, curency, development, education, events, example, finance, fxcpe, fxinitiative, global, hedging, initiative, management, mutlinational, payments, professional, risk, trading, training, treasury 0 0 Comment
Summarizing FX Supply & Demand Summarizing FX Supply & Demand (Video): Explore how supply and demand factors influence foreign exchange (FX) rate fluctuations. This video is a preview of FX Initiative’s FX Market Overview course as part of Learning Objective #4. To learn more, start your FX risk management training today, which provides 24/7 365 access to our complete suite of foreign exchange (FX) continuing professional education (CPE), examples & events at FXCPE.com. Start FX Training June 22, 2021By FX Initiative Examples, FX Market Overview accounting, authority, bank, business, central, corporate, CPE, currency, demand, development, economics, education, equillibrium, events, example, exchange, finance, fiscal, fluctuations, forex, fxcpe, fxinitiative, high, learning, low, management, market, monetary, policy, price, professional, rate, risk, supply, training, treasury, volatility 0 0 Comment
The 5 Stage FX Trade Lifecycle The 5 Stage FX Trade Lifecycle (Video): Discover the top treasury functions employed by global corporations when executing foreign exchange (FX) risk management strategies. This video is a preview of FX Initiative’s FX Risk Management course as part of Learning Objective #1. To learn more, start your FX risk management training today, which provides 24/7 365 access to our complete suite of foreign exchange (FX) continuing professional education (CPE), examples & events at FXCPE.com. Start FX Training June 15, 2021By FX Initiative FX Risk Management, General accounting, administer, analyze, collect, corporate, CPE, currency, derivative, education, evaluate, events, example, execute, finance, forex, fxcpe, fxinitiative, hedge, identify, lifecycle, management, monitor, quantify, risk, strategize, trade, training, treasury 0 0 Comment
An Overview of FX Options An Overview of FX Options (Video): Explore the value drivers of foreign exchange (FX) put and call options, and recognize the payoff profile of option contracts. This video is a preview of FX Initiative’s FX Spot & Derivatives course as part of Learning Objective #2. To learn more, start your FX risk management training today, which provides 24/7 365 access to our complete suite of foreign exchange (FX) continuing professional education (CPE), examples & events at FXCPE.com. Start FX Training June 8, 2021By FX Initiative FX Derivative Speculator, FX Spot & Derivatives, FX Transaction Simulator, General accounting, american, call, collar, contracts, corporate, currency, derivative, european, example, exchange, exercise, finance, foreign, forex, forward, fxcpe, fxinitiative, gain, hedge, intrinsic, loss, management, option, participating, payoff, profile, put, range, risk, simulation, strike, time, trading, training, treasury, value 0 0 Comment
FX Pricing & Booking Best Practices FX Pricing & Booking Best Practices (Video): Explore how multinational corporations can retain and reduce FX risk by pricing and booking FX transactions strategically. This video is a preview of FX Initiative’s FX Risk Management course as part of Learning Objective #1. To learn more, start your FX risk management training today, which provides 24/7 365 access to our complete suite of foreign exchange (FX) continuing professional education (CPE), examples & events at FXCPE.com. Start FX Training May 18, 2021By FX Initiative FX Risk Management, General accounting, average, booking, convention, currency, daily, derivative, example, exchange, finance, fxcpe, fxinitiative, gain, hedge, loss, management, month end, prior month, rate, reduce, retain, risk, training, treasury 0 0 Comment
Features of FX Forward Contracts Features of FX Forward Contracts (Video): Find out the distinctive features of foreign exchange (FX) forward contracts and discover how they can be used to hedge FX risk. This video is a preview of FX Initiative’s FX Spot & Derivatives course as part of Learning Objective #1. To learn more, start your FX risk management training today, which provides 24/7 365 access to our complete suite of foreign exchange (FX) continuing professional education (CPE), examples & events at FXCPE.com. Start FX Training April 27, 2021By FX Initiative FX Spot & Derivatives, General accounting, contract, currency, derivative, discount, education, EPS, example, expenses, finance, forward, fxcpe, fxinitiative, gain, hedge, interest, learning, long, loss, management, maturity, option, payables, premium, pricing, rates, receivables, revenues, risk, short, training, treasury 0 0 Comment
Recognizing FX Revenues & Receivables Recognizing FX Revenues & Receivables (Video): Explore the economic and accounting similarities and differences between forecasted and booked foreign exchange (FX) transactions using the FX Transaction Simulator tool. To learn more, start your FX risk management training today, which provides 24/7 365 access to our complete suite of foreign exchange (FX) continuing professional education (CPE), examples & events at FXCPE.com. Start FX Training April 20, 2021By FX Initiative FX Transaction Simulator, General accounting, analysis, ASC815, ASC830, booked, compare, constrast, currency, demonstration, economic, education, example, expense, FAS133, FAS52, forecast, fxcpe, fxinitiative, learning, management, payable, receivable, recognized, revenue, risk, simulation, tools, training, unrecognized 0 0 Comment
Simulating FX Hedging Strategies To become proficient in any skill, including currency risk management, practice makes perfect. To help companies practice in 2021, FX Initiative’s Foreign Exchange Transaction Simulator addresses a wide variety of FX scenarios by stress-testing hypothetical FX hedging strategies. This interactive risk modeling tool illustrates the economics and accounting of the most common hedging strategies for underlying foreign exchange exposures such as revenues, expenses, receivables, and payables. You can simply input your company specific and foreign exchange market variables, and then select your hedging strategy, which includes not hedging or hedging with a forward contract, vanilla option or zero cost collar. The resulting output is a highly detailed interactive FX risk analysis that charts the economic payoff of your selected hedging strategy, ranks the alternative hedging strategies, and reports the accounting journal entries and t-accounts with authoritative references to U.S. generally accepted accounting principles (GAAP). Behind the scenes, our robust pricing engine and database simplifies the risk analysis process for you so you can focus on the bottom line impact to your business. This versatile tool transforms 16 inputs into one information rich analysis in 3 easy steps. Step 1 is to select (1) the Underlying Exposure and input the related variables of (2) Functional Currency, (3) Foreign Currency, (4) Underlying Notional Amount, (5) Beginning Exchange Rate, (6) Currency Quoting Convention, (7) Start Date, (8) End Date and (9) the Day Count. Step 2 is to select a (10) Hedging Strategy and input the related variables of (11) Hedge Ratio %, (12) Domestic Interest Rate, (13) Foreign Interest Rate, (14) Implied Volatility, and (15) the Collar Range. Step 3 is to forecast (16) the ending exchange rate to see how positive and negative changes in exchange rates impact the cash flow and financial reporting of your selected hedging strategy. This FX risk management web application customizes strategies and can be modified efficiently and effectively. For example, if you want to change your underlying exposure or hedge strategy, it’s as simple as one-click. If you want to know which strategy yields the best outcome, all 4 strategies are ranked for you automatically. If you want to see how the default or elective accounting treatment differ, the journal entries and t-accounts are instantly presented side-by-side. This Foreign Exchange Transaction Simulator acts as your own personal quantitative analyst, and puts you in a positions to make a qualified foreign exchange risk management decisions. To begin practicing hypothetical FX hedging, start your FX risk management training today, which provides 24/7 365 access to our complete suite of foreign exchange (FX) continuing professional education (CPE), examples & events at FXCPE.com. Start FX Risk Management Training > February 16, 2021By FX Initiative Examples, General accounting, compare, contrast, currency, demonstration, economics, education, example, expense, forecast, forex, fxcpe, fxinitiative, hedging, hypothetical, learning, management, model, payable, practice, proficient, receivable, revenue, risk, simulation, stresstest, tool, training, VaR 0 0 Comment
Winter FX CPE Webinar Schedule FX Initiative cordially invites you to attend our upcoming webinar series titled “Mastering Currency Risk Management.” To complement our self-study video training, these sessions are designed address common FX strategies and challenges global organizations encounter when managing currency risk. Each live webinar is eligible for CPE credit, and offers the ability to interact with the instructor, engage with the audience through real time polling questions, and participate in question and answer segments. Upcoming Webinars Sessions & Dates Mastering Currency Risk Thursday, January 28th 2021 @ 11AM Pacific / 2PM Eastern Learn the fundamentals of corporate foreign exchange risk management. FX Risk Management Policies Thursday, February 11th @ 11AM Pacific / 2PM Eastern Learn how to draft a corporate foreign exchange risk management policy. FX Forward Contracts Thursday, February 25th 2021 @ 11AM Pacific / 2PM Eastern Learn what forward contracts are and why they are the most used derivative. Balance Sheet Hedging Thursday, March 11th 2021 @ 11AM Pacific / 2PM Eastern Learn how to hedge FX receivables & payables and mitigate gains & losses. Cash Flow Hedging Thursday, March 25th 2021 @ 11AM Pacific / 2PM Eastern Learn how to hedge and account for forecasted FX revenues & expenses. Whether you are interested in a timely session related to recent developments impacting the foreign exchange market or would like a scheduled approach to start learning FX risk management, our live webinar sessions are designed to help you solve unique FX risk management challenges that are not otherwise addressed in our video based programs. Explore our Events page to register and learn more about the learning objectives covered in our educational webinar series titled “Mastering Currency Risk Management.” Webinar Registration > January 19, 2021By FX Initiative General, Webinar accounting, CPE, currency, demonstration, economics, education, example, expense, finance, forecast, fxcpe, fxinitiative, learning, management, model, payable, receivable, revenue, risk, simulation, training, treasury, webinars, workshops 0 0 Comment
Webinar Training & Workshops FX Initiative cordially invites you to attend our upcoming 6 part webinar series titled “Mastering Currency Risk Management.” To complement our self-study video training, these sessions are designed address common FX strategies and challenges global organizations encounter when managing currency risk. Each live webinar is eligible for CPE credit, and offers the ability to interact with the instructor, engage with the audience through real time polling questions, and participate in question and answer segments. Upcoming Webinars Sessions & Dates Mastering Currency Risk Thursday, October 1st 2020 @ 11AM Pacific / 2PM Eastern Learn the fundamentals of corporate foreign exchange risk management. FX Risk Management Policies Thursday, October 15th 2020 @ 11AM Pacific / 2PM Eastern Learn how to draft a corporate foreign exchange risk management policy. FX Forward Contracts Thursday, October 29th 2020 @ 11AM Pacific / 2PM Eastern Learn what forward contracts are and why they are the most used derivative. Balance Sheet Hedging Thursday, November 12th 2020 @ 11AM Pacific / 2PM Eastern Learn how to hedge FX receivables & payables and mitigate gains & losses. Cash Flow Hedging Thursday, December 3rd 2020 @ 11AM Pacific / 2PM Eastern Learn how to hedge and account for forecasted FX revenues & expenses. Multilateral Netting Thursday, December 10th 2020 @ 11AM Pacific / 2PM Eastern Learn how multilateral netting helps manage intercompany cash flows. Whether you are interested in a timely session related to recent developments impacting the foreign exchange market or would like a scheduled approach to start learning FX risk management, our live webinar sessions are designed to help you solve unique FX risk management challenges that are not otherwise addressed in our video based programs. Explore our Events page to register and learn more about the learning objectives covered in our educational webinar series titled “Mastering Currency Risk Management.” Webinar Registration > September 22, 2020By FX Initiative General, Webinar accounting, CPE, currency, demonstration, economics, education, example, expense, finance, forecast, fxcpe, fxinitiative, learning, management, mastering, model, payable, receivable, revenue, risk, simulation, training, treasury, webinar, workshops 0 0 Comment