If you’re happy to sit at your desk and not take any risk, you’ll be sitting at your desk for the next 20 years”: David Rubenstein

We help Organizations by formulating FX Policy which broadly includes:

-Formulating policy which help manage different types of treasury risks to which Clients are exposed to

-Setting risk mitigation techniques for managing optimal treasury management

-Defining the roles & responsibilities for timely action plan without any ambiguity

-Defining best practices adopted in Corporate world to manage FX risks

-Interest Rate Risk, Currency Risk, Operational Risk can be managed more systematically through a Forex policy

-Policy acts as a single point reference for all issues impacting the treasury function

Fluctuations in the currency market may have an adverse effect on your import payments and export receipts as well as on your interest pay out (FC loans). We help manage these fluctuations risks and the methodology involves....  

Currency Derivatives segment of Exchanges provides trading in derivative instruments like Currency Futures and Currency Options. We enable our Clients to make hedging/investment opportunities in the currency....

Doing business today is drastically different than it was a few years ago. Market dynamics have changed and continue to change. Timely and accurate information....