FTI Treasury Talks: Conversations with the Experts

Event Date: 16 April 2025

FTI Treasury Talks: FX Risk Management: Strategies to Stay Ahead in Volatile Markets

Event Date: 16 April 2025

We’re pleased to announce the next episode in our FTI Treasury Talks: Conversations with the Experts series, focusing on foreign exchange risk management — one of the most pressing challenges facing treasury teams operating in today’s unpredictable global markets.

Currency volatility is no longer an occasional disruption. For organisations with cross-border exposures, managing FX risk effectively has become a strategic imperative. The right frameworks and hedging strategies can protect margins, improve forecasting accuracy, and strengthen financial resilience.

Meet the Experts

Shane O’Keeffe, Head of Innovation at FTI Treasury, and Barry Callaghan, Front Office Senior Manager at FTI Treasury, bring deep expertise in FX markets, hedging strategy, and treasury technology across complex multinational environments.

What You’ll Learn

This session explores practical approaches to FX risk management, including:

  • How to identify and quantify FX exposures across your organisation
  • Hedging instruments and strategies suited to different risk profiles
  • Building a disciplined FX policy that scales with your business
  • Navigating volatility: lessons from recent market turbulence
  • How technology and automation are transforming FX workflows

Who Should Watch

This session is relevant for professionals involved in:

  • Treasury and cash management
  • Financial risk and compliance
  • CFO and finance leadership teams
  • Corporate finance and international operations

Why FX Risk Management Matters

Unmanaged currency exposure can erode profitability, distort financial reporting, and create strategic uncertainty. A structured approach to FX risk, grounded in clear policy and supported by the right instruments, allows organisations to operate with greater confidence and predictability. Whether you are refining an existing hedging programme or building one from scratch, this session will provide actionable insights you can apply immediately.

FTI Treasury’s Approach

FTI Treasury brings hands-on expertise in designing and executing FX risk management frameworks for clients across a wide range of industries and geographies. From exposure analysis and policy development to instrument selection and execution oversight, our team partners with clients to build FX programmes that are both rigorous and pragmatic. Join the conversation today!

Reserve your Spot