Business Banking

Our Treasury specialists use a range of derivative solutions to help Business Banking customers manage and reduce their exposure to a variety of financial market risks including interest rates, foreign exchange, commodities and inflation.  We can provide practical risk management solutions tailored to individual business' risk profiles and future cash flows. Clients with a range of needs can benefit from risk management solutions including those who have:

  • Exposure to interest rates
  • Plans to purchase foreign currency
  • Exposure to commodity prices
  • Future income that is dependent on Retail Price Index

For more information on managing your financial risks please contact your Business Banking relationship manager or visit the Business Banking website This link opens in a new window

 

 


Our share price...

272.00 -8.25p21/08/2008 23:03:27
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