Our specialist Corporate FX Team take the time to understand your business and will design bespoke FX solutions to manage your risk, cut costs and protect your profits, so that you can focus on managing your business. But that’s not all, you’ll also benefit from our supportive one-stop Treasury Management solution, specialist market knowledge and valuable FX experience.
Preparing a strategy that manages exposure to foreign currency risk is critical to protecting your capital from the dangers of sudden currency market fluctuations.
Our ‘Import Solutions’ offering is a fully integrated end-to-end service, from order placement to delivery, for all your business import transactions.
At Currency Partners we are able to offer our export clients access to the most competitive currency pricing in international markets around the globe.
Regular foreign currency payments can be time consuming and uncertain in volatile markets.
Market orders & Target rates
We’re obsessed with watching the markets, which means that you don’t have to.
Our outsourced Treasury Management, Import and Payment Solutions, make foreign exchange and international payments easy. We’ll handle all documentation and ensure compliance with exchange control regulations, so you can focus on growing your business. The benefits of our specialist Corporate FX service include:
- Import/Export payments and receipts
- Forward Exchange Contracts (FECs) and other bespoke Hedging Strategies
- Specialist currency Risk Management advice
- Rate watch alerts and automatic market orders
- A “Better Rate Promise” (we’ll beat any live comparative quotes)
- We complete and manage all documentation, including your Balance of Payment (BoP) forms