Corporate currency products
Managing foreign exchange risk is vital for businesses making international payments.
Below is our comprehensive suite of products to empower your business to budget effectively, seize opportunities and mitigate currency risks.
Our currency products
Spot trades, forward contracts and market orders are crucial components of currency risk management and hedging strategies.
Our dedicated Relationship Managers work closely with you to understand your unique requirements and construct personalised solutions using the following products.
Spot trades
Realise immediate opportunities with spot trades
Sometimes, the best time to act is now.
Spot trades are an integral part of risk-mitigating hedging strategies, allowing you to capitalise on current exchange rates for immediate transactions.
Forward contracts
Secure your future with forward contracts
Forward contracts allow you to lock in favourable exchange rates today for payments in the future.
This ensures stability and predictability for your budget and cash flow.
Market orders
Achieve maximum value with market orders
Market orders enable you to set target rates, which we execute automatically when achieved.
This flexibility lets you hunt for maximum value without constantly monitoring the markets.