CFA Society Norway: Hedging Strategies in an Uncertain Environment, 30.10.2025
Members event
date & time
30/10/2025 5:15-6:15 pm EET
In an era of heightened volatility, effective risk management is not merely a safeguard—it’s a strategic imperative. Financial professionals across the Nordic region face mounting challenges from interest rate shifts, currency fluctuations, and commodity price instability.
To help you navigate these complexities, CFA Society Norway invites you to an exclusive webinar:
Webinar: Hedging Strategies in an Uncertain Environment
📅 Date: Thursday, 30 October
🕔 Time: 17:15 – 18:15 EET
🎤 Speaker: Janne Mäntyniemi, Head of Treasury and Analysis Santander Consumer Bank Nordics
🎤 Moderator: Anmol Juneja, VP Board – CFA Society Norway
Session Overview
In this session, Janne Mäntyniemi will provide an insider’s perspective on how a leading financial institution builds a robust, adaptive framework for managing financial risk. Drawing on real-world experience from Santander Consumer Bank, Janne will illustrate how treasury teams can align hedging activities with strategic goals and navigate periods of uncertainty with confidence.
Key Takeaways:
The essential components of an effective hedging strategy in a volatile market.
Practical methods for identifying, measuring, and mitigating key financial risks such as interest rate and FX exposures.
The strategic role of treasury in balancing risk appetite, business strategy and profitability.
Case-based insights from real market scenarios and lessons learned.
About the Speaker
Janne Mäntyniemi is the Head of Treasury and Analysis at Santander Consumer Bank, where he oversees funding, liquidity, and asset-liability management across multiple countries. With extensive experience in treasury and risk management, Janne offers a glimpse into how financial institutions measure, manage and optimize risk across jurisdictions, balancing stability, strategy, and profitability.
Look to your inbox for a link to register!