IQuad Treasury Solutions provides a treasury management service which includes managing foreign currency risk, interest rate risk and liquidity risk.
- We conduct a risk profile assessment and formulate a tailor-made treasury policy that suits your business and positions your company to compete;
- We monitor exchange rates in real time, giving you regular market updates;
- We manage your forex risk and limit your exposure to currency fluctuations;
- Acting independently of any financial institution, we ensure that you always receive market-related exchange rates; and
- Our dedicated portfolio managers administer your account on a day-to-day basis and provide consolidated reporting according to your requirements.