Risk Management
Our team of experienced FX specialists take time to understand your business and tailor currency strategies to your unique circumstances.
Forward Contracts - an agreed rate for a future settlement date
Options - customised and flexible hedging solutions
Non-deliverable Forwards - Manage the exposure of non-deliverable exotic currencies and your international subsidiaries
Dedicated Relationship Manager - who will support and design strategies to your specific needs
Hedging policies - allow us to assist in designing and implementing a bullet proof policy
Balance Sheet Hedging - reduce FX volatility and stabilise your asset and liability risk
Intercompany Netting - Simplify and offset your subsidiaries’ obligations to each other, effective for optimising cash management and reducing FX exposure