Treasury & Derivatives
We support and guide clients through all areas of treasury and derivatives.
We work with clients to understand their specific corporate objectives and requirements – before applying our experience, knowledge and capabilities to deliver modern, creative solutions to a key area of risk and opportunity for them.
Our team combines corporate treasury, banking and advisory practitioners, with specific expertise that spans high level treasury strategies to the fine detail of risk management through treasury management policies.
The team is supported by a sophisticated technology infrastructure and experienced quantitative analysts – enabling clients to better understand valuations, portfolio modelling and risk management across a range of financial products.
Treasury Management
Policies
A robust, up to date and clear treasury management policy is fundamental...
Strategic Treasury
Management
Treasury managers must address three constantly evolving challenges in their organisation...
Valuation & Portfolio
Modelling
We model, value and analyse client portfolios of financial assets and liabilities...
Benchmarking &
Execution
Hedging currency, inflation, interest rate or commodity risk is an area of considerable complexity...