The role of our Treasury is reviewing, streamlining and controlling the Bank’s domestic money and foreign exchange markets related operations for optimization of risk adjusted returns for the Bank and our Customers. From pricing to advising, the dealers are in the best position to guide our valued clients through their rapidly evolving currency risk management requirements in today’s fast changing market environment.
Structured, value-added solutions to meet customer hedging and investment requirements.
Regular customer updates on market movements and trends.
Access to in-depth analysis and world-class research on regional and international markets.
Educational seminars on exposure management, derivatives, market developments etc.

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