The company devises bespoke treasury management solutions because every client is unique. Croesus Treasury Management assists clients to take informed market decisions and acts as an intermediary in the execution of foreign exchange transactions to achieve their execution objectives. Hedging strategies are also proposed to effectively handle foreign exchange rate risk right from identification till execution. Since we help organizations manage their cash flow, flexible liquidity management solutions are also conceived to optimise otherwise unused excess cash and liquidity.
Trading in financial products usually involves a risk element. As a general rule, prior to trading in any financial product the client should understand the products and the underlying risks associated with them.
Please be advised that while we endeavour to assist our clients in their best possible interest, we all remain economic agents of the global economy whereby the market regulates itself. This market regulation mechanism remains independent and unpredictable, it may play in favour of clients and their respective positions, or against them. These risks remain similar for all organizations functioning within the sphere of open and market regulated economies.
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