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Foreign Exchange, Money Markets and Derivatives

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About The Course

This course explains how FX and money markets operate, along with the role of derivatives in managing financial risk.

Objectives

  • Understand FX transactions and currency hedging.
  • Analyze interest rate and liquidity management tools.
  • Trade derivatives: forwards, futures, options, and swaps.
  • Assess market risk and regulatory requirements.
  • Support treasury and investment operations.

Requirements

Requirement

Finance or banking background.

Requirement

Numerical reasoning and market awareness.

Requirement

Excel and trading knowledge preferred.

Requirement

Recommended for treasury and capital market teams.

Register or Have Questions?

01 Register Now

02 Request Information?

You can contact our support team via Contact Page or call directly to inquire more about this course.

03 Know more about the course Duration

This course spans 2 Months and is available in Virtual mode.

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