You can collect funds efficiently from customers and subsidiaries in 60+ currencies and transfer them back into the required currency with great exchange rates. When combined with our risk management strategies, this means you have a stable rate to repatriate your overseas funds and know the exact amount of revenue that will make it back to your account.
Simplify your operational management by eliminating the need to maintain your own bank accounts across multiple currencies and locations.
Avoid associated bank charges and reduce the operational costs often incurred from payment reconciliation, which can be a time intensive, manual process.
Invoice your customers in their local currency so they know exactly how much they owe and avoid fees when sending funds. Meanwhile your business has full visibility of incoming payments.
" We have used Taran and his team for our import payments since 2015. During this period we have found the service to be of the highest level. The strategy assistance has been fully tailored to our business model, and this has been reflected in the way we have performed over the last two years since the Brexit referendum result of 2016."