Benchmarking & Execution
Hedging currency, inflation, interest rate or commodity risk is an area of considerable complexity and opacity even for experienced treasury professionals.
With a highly experienced team of derivatives professionals, Centrus supports clients in navigating these intricacies to deliver transparent execution and value for money.
We focus particularly on effective processes, engagement with bank counterparties (including comprehensive dry runs) and drafting hedging term sheets and execution protocols, with regard for market risk and credit risk. We also support post transaction activity such as confirmation review and regulatory compliance. This is supported by comprehensive access to market data and leading derivatives pricing systems for even the most complex structures.
We seek to provide a holistic approach throughout the life of a funding project – for example by providing clients with hedging costs that form an integral part of the qualitative evaluation, as opposed to treating (and costing) it as a separate issue.
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...