We provide solutions that enable you expand your business and venture into foreign markets. We take our time to understand your business. This enables us craft and tailor solutions on foreign exchange requirements as you continue to expand in international markets. You can select from a wide range of products, from purchase and sale in foreign exchange transactions, to complex derivative structures.
These products help you manage risk on currency and interest rate exposures as well as provide yield enhancement opportunities on your deposits. Some of the other features include:-
- Purchase & sell of FX: Purchase of Foreign currency from customers and sale of foreign currency to customers.
- Forward contracts: Offering forward contracts to customers willing to hedge for any unforeseen currency risk.
- Treasury Bills: Purchase of Treasury Bills for customers from the Central Bank since we are participants in the primary market.
- Treasury News letter: Production and distribution of a weekly newsletter which provides a brief analysis of the local foreign exchange market, local money market and international financial markets to our customers via e-mail.