Commodity and Interest Rate Risks: Manage the Unmanageable

Description

Risk is everywhere; volatile interest rates, commodity prices, and markets. The best business leaders excel at mitigating risks, but some risks can't be tamed while others can be. How did this happen? Why is market risk increasing and happening more frequently - despite governmental regulations? What can we do to better manage interest rate risk and commodity price changes? We review why market risks are so damaging, and what we can do about them today. If risk is an issue - this session is for you!

This event may be a rebroadcast of a live event and the instructor will be available to answer your questions either during or after the event.

Date/Time

Thursday, February 21, 2019
Registration Time: 3:00pm
3:00pm – 5:00pm

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Course Type

On-line Live Vendors

CPE Credit

2.00 hours CPE credit

Field of Study

Auditing

Level of Knowledge

Intermediate

Designed For

CEOs, CFOs, Controllers and other middle and upper level corporate financial professionals

Vendor

CPA Crossings

Prerequisites

Some risk management experience is helpful

Advanced Preparation

None

Highlights

  • Why do great leaders focus on risk?
    Past financial calamities and why market crashes are becoming more common.
  • Steps to better manage interest rate risk and commodity price risk.
  • Steps you can take to reduce financial risk in your organization.
  • How planning helps manage risk.

Objectives

Learn what you can do to manage commodity and interest rate risks.

Location

N/A (This is a webcast)
Member Fee $79.00
Non-Member Fee $79.00
Your Price $79.00

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