Posts Tagged ‘FX risk management’

Brexit Lessons Learned: How to Prepare for FX Market Shocks

After 51.9% of UK citizens voted for a Brexit 0n 23rd June 2016, the pound plunged to a 30-year low and markets from New York to Tokyo were hit by extreme volatility. Although Britain’s finance minister assured that the UK was prepared for the unexpected, the pound lost again the following Monday. Post this date…

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Reval Recommends: Top 10 Articles in March 2016

Reval’s Solutions Consulting team helps treasurers from around the world leverage technology for operational and strategic challenges. They keep a strong pulse on the market and are Reval’s think tank. Their focus is on best practices for financial risk, cash and liquidity management strategies and tactics. As such, here are their must read articles from…

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How to Efficiently Manage Enterprise-wide FX Risks in Mid-Market Companies

As mid-market companies start seeking revenues outside their domestic markets, they are increasingly exposed to FX risk. Treasurers are challenged to set up a risk framework and find tools to help them control currency volatility. In a recent Reval survey, 37% of about 150 finance professionals working in companies with less than 1 billion revenues…

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Reval Recommends: Top 10 Articles in June

Reval’s Solutions Consulting team helps treasurers around the world leverage technology for operational and strategic challenges. They keep a strong pulse on the market and are Reval’s think tank. Their focus is on best practices for financial risk, cash and liquidity management strategies and tactics. As such, here are their must read articles from June:…

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Top Treasury Grapevine Blogs of 2014

Which Reval stories have caught the most attention in the treasury space over the past 12 months? Read our top  blogs of  2014: Forecasting the future: why treasury needs to work smarter than ever – January 2014 Top three reasons why now is the time for a TRM (Treasury Risk Management) system – April 2014…

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