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Risk Management Solutions

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Risk Management Solutions

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Through our partners Taler has access to fixed forward contracts or window forwards with flexibility on drawdown schedule for clients with less certainty on when future cash flows will need to be settled. Best-in-class deposit free facilities are available, dependent on assessment by a team of credit risk analysts. In some instances it may be possible to access completely uncollateralized facilities when buying or selling specific currencies. Contract durations are available for up to five years. Window length will vary depending on the risk profile of the client and the currencies being traded.

 

It is often the case that the most prudent of FX strategies utilise a combination of spot, fixed forwards and window forwards as part of a treasury policy that simultaneously protects the bottom line and allows you to take advantage of market movements in your favour. Taler’s expertise can be leveraged to build an effective FX strategy and the deep liquidity of our partners can be utilised for optimal execution.

 

For more information on exactly what is available to your business request a call back or you leave an enquiry on our contact us page.

Speak to a member of our team

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