In the FX world, the ability to master the market isn't considered a luxury for treasury specialists – it's a necessity. How can corporate treasury departments successfully handle risk management, cash management, FX exposure, hedging practices, and data analysis?
For corporate treasury teams, it can often be more challenging moving money than managing it when it’s in the register. As part of a new blog series, we will take a closer look at some of the macro events and currencies likely to have the greatest impact on the payments landscape in today’s volatile marketplace.
For companies, managing FX risk in a volatile marketplace is truly a team effort—one that requires effective collaboration across all levels of the organization. We analyzed the market and looked at key FX considerations and best practices across different teams and departments - from senior management to the many specialists working beyond the C-Suite.