Companies face increased uncertainty from interest rates, FX movements and geopolitical shifts. This roundtable explores best practices for liquidity planning, hedging and financial risk management. We discuss how finance teams adapt to unstable markets through dynamic monitoring and stress testing. Participants share tools, models and processes for navigating volatility. The session focuses on enabling financial resilience in unpredictable environments.
• Liquidity optimisation
• FX exposure management
• Risk mitigation tools
• Volatility monitoring