Hedging Currency, Interest, Credit, & Price Risks (3-Day)


Companies lose billions each year due to market volatility and inadequate hedging strategies. Built for today’s volatility, this advanced programme equips participants to hedge risks effectively, safeguard financial performance, and ensure compliance with regulatory and accounting standards.

This hands-on Derivatives and Hedge Accounting training course empowers professionals to proactively manage credit and market risks stemming from global developments such as inflation, U.S. tariffs, ESG-linked instruments, a strengthening U.S. dollar, and volatility in oil and gas prices, among others. Alongside advanced hedging strategies, the programme provides in-depth guidance on accurately reflecting hedging activities in financial statements prepared under IFRS 9, IPSAS, and ASC 815 (US GAAP)—equipping participants with the practical expertise needed to strengthen financial resilience in today’s complex and interconnected economic environment.

Join our globally recognised Derivatives and Hedging Training Course in leading financial centres including London, New York, Sydney, Singapore, Brussels, Johannesburg, Hong Kong, and Dubai. Enroll now to master the art of managing market risk—because in today’s uncertain world, expertise is your greatest competitive advantage.