Corpay

Topic: Risk management

Cash Flow Hedging: How to Protect Margins and Reduce FX Risk

Learn how cash flow hedging protects margins, stabilizes cash flow, and reduces FX risk. Compare rolling vs. layered hedge programs used by treasury and FP&A teams.

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By Cross-Border
Jul 29, 2026
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5 questions to ask before your company considers foreign exchange hedging

5 questions to ask before your company considers foreign exchange hedging

If your company is weighing up the pros and cons of foreign exchange hedging, take a look at our five-point checklist…

Case Study: Amplify5

Case Study: Amplify5

Learn how Amplify5 uses spot FX transactions and forward contracts to hedge currency exposure, reduce FX volatility, and support growth across markets.

Currency Risk in Alternative Investments: A Compilation

Currency Risk in Alternative Investments: A Compilation

This eBook compiles four articles, written by Sean Coakley, which examine the structural challenges private market investors can face when managing currency risk and some practical solutions.

What Is Positive Pay? A Finance Leader's Guide to Check and ACH Fraud Defense (2026)

What Is Positive Pay? A Finance Leader's Guide to Check and ACH Fraud Defense (2026)

Positive pay is the foundational check-and-ACH fraud control most banks offer. Here's what each variant catches, what it doesn't, and how to operate it well.

Accounts Payable Audit: Checklist, Procedures, and Controls

Accounts Payable Audit: Checklist, Procedures, and Controls

What an AP audit actually tests, the checklist auditors work from, and how to close the control gaps before the next review.

FX Lifecycle: From Budget to Balance Sheet

FX Lifecycle: From Budget to Balance Sheet

How FX remeasurement & translation risk flow from budget forecasts to your income statement & balance sheet. With clear explanations of CTA & corporate hedging.

Smarter payments. Stronger growth. Keep business moving.

See how corpay brings AP, card programs, lodging, fleet and cross-borders together