<h3 class="uui-heading-subheading">Risk Management</h3><div class="jtbd-card"><div class="jtbd-card-single">Identifying foreign exchange exposure for financial reports.</div><div class="jtbd-card-single">Evaluating hedging strategies for currency risk mitigation.</div><div class="jtbd-card-single">Performing stress tests on currency positions.</div><div class="jtbd-card-single">Monitoring market volatility and its impact on FX rates.</div></div><h3 class="uui-heading-subheading">Reporting and Analysis</h3><div class="jtbd-card"><div class="jtbd-card-single">Producing daily FX exposure reports for management review.</div><div class="jtbd-card-single">Analyzing historical currency trends for decision support.</div><div class="jtbd-card-single">Preparing weekly assessment of FX hedging effectiveness.</div><div class="jtbd-card-single">Distributing monthly currency performance summaries to stakeholders.</div></div><h3 class="uui-heading-subheading">Liquidity Management</h3><div class="jtbd-card"><div class="jtbd-card-single">Forecasting cash flows to determine FX liquidity needs.</div><div class="jtbd-card-single">Coordinating with banks for currency transactions and settlements.</div><div class="jtbd-card-single">Optimizing currency accounts for operational efficiency.</div><div class="jtbd-card-single">Managing internal funding for foreign subsidiaries effectively.</div></div><h3 class="uui-heading-subheading">Compliance and Regulations</h3><div class="jtbd-card"><div class="jtbd-card-single">Ensuring adherence to international foreign exchange regulations.</div><div class="jtbd-card-single">Preparing documentation for currency-related audits.</div><div class="jtbd-card-single">Monitoring compliance risks related to currency transactions.</div><div class="jtbd-card-single">Communicating with regulatory bodies regarding FX activities.</div></div>