Our currency risk management solutions allow you to effectively manage the inherent currency risks of trading internationally. No matter the size of your business, our expertise and currency forecasts will help support you in making decisions to protect margins and improve budget forecasting.
We get to know your business, trade flows and risk appetite to create a currency risk management strategy that’s right for you.
Our hedging solutions allow you to manage currency risk in over 140 currencies and utilise forward contracts in the short, medium and long term, from 3 days up to 5 years.
Whether sending money to suppliers, paying invoices or receiving funds from subsidiaries or clients, your profit margins are protected from market volatility and you have a clear cash flow making budgeting easier.
As a client of ours, you have access to a dedicated dealer who will work with you to understand your business and build a currency risk management strategy.
Working with your dealer, you can set the upper and lower limits on your currency exchange rates so you get the spot or forward contract at the rate you want. These help you take advantage of potentially more favourable rates and restricting the risk from a drop in rates at the same time.
We offer a range of forward contracts from fixed forwards to flexible window forwards to lock in your currency exchange rate for up to three years.
Our back office analyst team provides weekly and specialist currency reports to support you in making informed decisions.
" Having used our bank since starting up in 2018 we have found the rates at AdvancedFX to be significantly better. Over the last three transactions we have saved at least £1,600 and the process has been very quick and simple. "