Combining bespoke hedging strategies with in-depth market knowledge
bespoke service
Make informed decisions
Every company is unique. Your dedicated currency specialist will take the time to understand your business’ objectives and define informed hedging strategies that will help you manage the impact of currency volatility on your budget.
Work with your dedicated specialist, who has over ten years of experience managing currency risk
Treasury Policy Creation: take advantage of our expertise in developing and consulting on treasury policies to improve your approach to managing currency risk
Customised hedging strategies
Managing currency impact with effective hedging strategies
Access customised hedging strategies and a broad product portfolio to help you achieve the goals within your risk management framework or treasury policy.
Spot Trades: achieve competitive rates for immediate transactions
Forward Contracts: lock in a rate today for exchange on a specific date up to four years ahead, depending on your requirements
Market Orders: enhance your hedging strategy by using market orders to buy and sell currencies when the market hits your desired rate
Dynamic risk management strategies that align with your goals
Learn more about how you can effectively manage your currency exposure and help your business protect profits.