Our team will propose and structure suitable hedging or cost-reduction treasury transactions to accompany new and old mandates generating treasury fee income that compliments the funded financing transaction
FX Hedging ideas for cross-border trade-based transactions.
Interest Rate hedging and cost-reduction trades for long-term financing transactions.
Commodity hedging proposals for suitable clients.
These deals can be structured as mandatory hedges, wherein the client is obligated to hedge the exposure with our chosen liquidity provider.
Client negotiations and life-cycle support on new and existing transactions.