Our specialized service on forex portfolio management enables the client to understand and evaluate its exposure better. A strong MIS helps in identifying the exposure risk and also gives a complete picture of the Forex health of the organization. Streamlined information, exposure analysis, identification of targets and objectives, benchmarking are some of the features of our forex portfolio management. We monitor the exposure right from its inception stage and advise based on short term or long term exposure to protect the operating profit and to optimize the rewards. Depending on the applicability and risk profile of the client we also structure and advise on the various derivative instruments.

Many Indian forex participants lose heavily due to unsystematic risk management practices. A company foreign exchange policy serves as a backbone to manage the forex fluctuation. We provide professional advice on a regular basis for managing such forex transactions.

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