
We help medium to large corporates, commodity producers, private equity and venture capital firms manage and optimize currency risk arising from international trade and cross-border investments.

Our FX platform helps clients understand their risk tolerance and currency exposures, delivering tailored hedging strategies that can reduce bottom-line volatility. It stress tests extreme scenarios to highlight potential profit impacts, uncover unhedged risks and provide clear, data-driven insights.
Sector and peer benchmarking help validate decisions, while built-in reporting supports internal case building, tracks strategy performance and improves communication with stakeholders and boards.
Clients gain control over their FX activity with real-time spot and forward trading, full visibility of positions and maturities, and a unified portfolio view. The platform also enables beneficiary management and direct payments, streamlining workflows, improving accuracy and enhancing operational control across FX and payments.

We support you in developing a strategic approach to managing liquidity by designing and implementing a cash management strategy that aligns with your broader financial objectives. Our aim is to help you enhanced yield, ensuring your cash flow requirements are carefully supported, balancing accessibility with return and capital preservation.
We work closely with you to develop a clear understanding of your business plans, whether that involves restructuring and refinancing existing arrangements, funding future growth or raising capital to support acquisition activity.
Our approach is tailored and collaborative. We take the time to understand the complexities you face, helping to simplify key financial decisions and create solutions that are aligned with your long-term goals.
