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Treasury FX Risk Policy

Treasury Policy Part 4

FX and Riskmanagement

Explains, defines and provides guidance on the processes for managing and hedging operational risks in general and currency and interest rate risks in particular.

This work is intended as a best-practice guide and may differ in content from the processes in your company. We recommend a detailed analysis of the needs of your treasury processes with subsequent adaptation of this template. We will be happy to assist you with this work.


Item number:
TP-4
Price:
CHF30.00
Included tax 8.1%
CHF2.25


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