Last updated on April 18, 2014 at 10:45 EDT

The Handbook of Corporate Financial Risk Management

October 10, 2012

LONDON, October 10, 2012 /PRNewswire/ –

Stanley Myint and Fabrice Famery

BNP Paribas

The Handbook of Corporate Financial Risk Management, due for publication at the end of
October, is “highly recommended – if not a must, read for students and business
professionals alike.” Eric Hageman, Chief Financial Officer, KPN Royal Dutch Telecom.

“This unique book provides a comprehensive overview of corporate risk management
topics and will prove to be very useful to Treasurers and Financial Directors in their
daily activities” Alessandro Canta, Head of Group Finance, ENEL.

With the current global economic and financial environment creating immense pressures
for Corporate Risk Management departments, The Handbook of Corporate Financial Risk
Management reveals inside secrets on how to identify and analyse potential sources of
risk, and take the necessary steps to prevent losses.

The Handbook is entirely based on real-life case studies, which makes it intuitive and
approachable for the reader.

The authors provide step-by-step solutions that have worked for some of the largest
European companies, allowing readers to adapt these solutions to their own circumstances
and create a tailored and robust risk management framework.

The book is divided into six parts: Funding, Interest Rate and Inflation, Currency,
Credit, M&A-Related and Commodity Risks.

An essential resource for:

        - Corporate Treasurers, CFOs, CROs, CEOs, Financial Directors, traders and
          anyone who deals with the management of financial risks in non-financial companies
        - Accountants, management and pension consultants and other advisors on the
          subject of risk
        - Corporate bankers, coverage officers, corporate financiers, private equity
          investors, capital markets and derivatives marketers covering non-financial companies
        - Academics and students

“This topical book could not have come at a better moment. It illustrates the power of
a systematic, quantitative and analytical approach to Financial Risk, which is even more
important in these turbulent times.”

Thomas Bartelt, Head of Financial Risk Controlling, Volkswagen

“…I can see this becoming required reading for anyone involved in managing corporate
finance risk, and a key reference in the field.”

Dr. Howard Jones, Senior Research Fellow in Finance, Oxford University

The Handbook of Corporate Financial Risk Management will be published on Tuesday 30th
October by Risk Books, part of Incisive Media Ltd, Haymarket House, 28-29 Haymarket,
London SW1Y 4RX.

For more information, to request a review copy or to contact the authors please email
Phil Jackson at philip.jackson@incisivemedia.com or call +44(0)207-316-9823.

For background information and a full list of contents, visit
http://www.riskbooks.com/corprisk [http://www.riskbooks.com/corporaterisk ]

SOURCE Risk Books

Source: PR Newswire