Make transacting globally easy for international treasury management
If your business is starting to expand internationally and open offices overseas, or it is starting to make more or receive more foreign currency, you need to formulate a policy for your international treasury management. The policy should set out the basics including the currencies, amounts and banking arrangements. Importantly it should also cover how to minimise risk to the business through hedging strategies.
SATFX can help you with both the setting up and running of your international treasury management by talking through your requirements and establishing what your business needs to maximise its currency transfers.
- The most competitive rates of exchange with no hidden fees or charges
- A proactive and personalised service delivered by an experienced team of currency experts
- Proactive strategies and hedging techniques that reduce the risks faced from fluctuating exchange rates.
If you would like to discuss your specific requirements, arrange a trade analysis or for a comparative quote on your next foreign exchange transaction, please contact us on +44 (0)1491 577 550. Alternatively, complete our enquiry form and we will be happy to call you back at your convenience. If you wish to open a business account, please complete our online application form.