We're running a paid study on corporate treasury compliance and technical hedge documentation. The goal is to evaluate the structure and clarity of a standard hedge pack under IFRS 9 guidelines. Your expertise will help us understand how financial professionals interact with complex FX cash flow hedging programs in practice.
You will participate in a remote interview to review a technical corporate treasury hedge pack. During the session, we will ask you to evaluate specific sections of an FX cash flow hedging program for compliance with IFRS 9. You will share your screen to walk through the documentation and provide verbal feedback on its clarity and completeness. Finally, you will answer a series of technical questions regarding the hedge accounting methodology.
We welcome corporate treasury professionals, hedge accounting specialists, and financial controllers with direct experience in FX cash flow hedging. Candidates should be comfortable reviewing technical documentation under IFRS 9 standards. If you manage corporate risk, oversee derivative accounting, or structure hedging programs, your background is a great fit for this study.
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