With an in-depth understanding of both local and international financial markets, our team offers an innovative approach to risk management that takes into consideration market changes. As fluctuating exchange rates may have a substantial effect on a firm’s earnings, cash flow and profitability, a foreign currency management plan can help in stabilising a company’s overall performance.
PLEION Corporate Finance Ltd provides tailored solutions and advice in relation to Global Markets activities. Through our cost-effective treasury management strategies that align to varying levels of risk exposure, we allow you to drive your focus towards your core business. Our ultimate goal is to unlock opportunities that will allow you to take the best decisions and assist you in your interactions with Banks and Treasury Management agencies licenced by the Financial Services Commission (FSC) of Mauritius.
By utilising these regulated service providers, our Global Market Services include:
- Management of cash balances
- Treasury deposits
- Foreign exchange
We also provide advice on:
- Trading risk management (treasury and derivatives)
- Interest rate hedging advice
- Valuation policy and governance
- Derivative trading functions
- Hedging (credit, liquidity, market, investment)