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Passionate – Dedicated – Professional

driving success to your everyday business

Credit lines or short-term funding solutions

Providing solutions for efficient management of working capital to cover payment obligations.

Corresponding Banking Network

Enhancing and diversifying client’s network of correspondent banks to ensure reliable flow of funds

Cash Flow Optimization

Consulting on strategies to manage multi-currency cash flows effectively, including real-time visibility and predictive analytics for funding needs.

Notional Pooling & Cash Concentration

Structure accounts to optimize global cash positions, reducing idle balances and minimizing borrowing costs.

Passionate – Dedicated – Professional

The Steps We Follow To Achieve Your Goals

Comprehensive Liquidity Needs Assessment

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  • Analyze Current Flow: Map the client’s current cash flow, payment corridors, transaction volumes, currencies involved, and payout methods.

  • Identify Pain Points: Pinpoint existing liquidity gaps, high costs associated with holding balances, exposure to currency risk, or inefficiencies in funding and settlement.

  • Determine Requirements: Understand the client’s specific needs for working capital, access to credit lines, desired execution speed, and regulatory compliance.

Strategic Solution Design & Partner Selection

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  • Develop Tailored Strategy: Based on the assessment, design a specific liquidity strategy. This could include recommendations for optimizing multi-currency accounts, implementing notional pooling, or structuring credit facilities.

  • Identify & Engage Providers: Select and engage suitable liquidity providers (banks, non-bank LPs, prime brokers) and potentially credit providers who can offer competitive FX rates, robust connectivity, and the necessary funding lines.

  • Technology Integration Plan: Outline the technology requirements for liquidity aggregation, automated hedging, and seamless integration with the client’s existing payment systems via APIs.

Implementation, Optimization & Risk Management

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  • Execute Onboarding & Integration: Facilitate the onboarding process with chosen liquidity and credit providers, and oversee the technical integration of platforms and systems.

  • Implement Risk Mitigation: Put in place clear hedging strategies and risk management frameworks to protect against FX volatility and operational risks associated with managing large currency positions.

  • Continuous Monitoring & Optimization: Establish metrics to monitor liquidity performance, cost efficiency, and operational effectiveness. Regularly review and refine the solution to adapt to changing market conditions, transaction volumes, and business growth.