Foreign Exchange Risk Analysis Course
Master FX risk using practical tools to measure exposure, design hedging strategies, and execute forwards, options, and swaps. Gain skills in data-driven scenario analysis, hedge effectiveness testing, and governance frameworks to safeguard profits and enhance treasury decision-making in dynamic markets.

from 4 to 360h flexible workload
valid certificate in your country
What will I learn?
This course equips you with hands-on tools to grasp FX markets, assess exposure, and craft effective hedging strategies. Master spot, forward, and options trading mechanics, conduct scenario and stress testing, and measure hedge outcomes. Explore data acquisition, executive reporting, governance protocols, plus vital regulatory and tax factors, all delivered in a focused, practical manner.
Elevify advantages
Develop skills
- FX data analysis: clean, visualise, and interpret FX time series for quick decisions.
- Hedging instruments: apply forwards, options, swaps, and futures to manage FX risk.
- Hedging strategies: design, test, and optimise full, partial, and options-based hedges.
- Scenario analysis: build best/base/worst FX cases and stress tests in USD terms.
- Risk governance: set FX policies, limits, reporting, and regulatory alignment.
Suggested summary
Before starting, you can change the chapters and workload. Choose which chapter to start with. Add or remove chapters. Increase or decrease the course workload.What our students say
FAQs
Who is Elevify? How does it work?
Do the courses have certificates?
Are the courses free?
What is the course workload?
What are the courses like?
How do the courses work?
What is the duration of the courses?
What is the cost or price of the courses?
What is an EAD or online course and how does it work?
PDF Course