does anyone work in financial risk management? I choose this as one of my modules for my MBA (my god do i wish i did not) and the coursework is due around risks for my company, the problem is I dont deal with financial risk in my day job so its going to be a tricky assisgment. It will be based around how a company minimise risk in my case around foreign exchange and interest rate markets (work for the post office and will link it to our foreign exchange and savings products as both are affected by changes in exchange / interest rates) and how the company uses hedging, fowards, futures, options etc to minise risk.
I have a headache just writing this let alone getting my head around the whole module, if anyone works in this subject (firstly i feel for you

) but I would be grateful for a few tips and advise.
thanks in advance