FTI Treasury has a proven track record in helping clients minimise the impact of FX volatility on cash flows and reported results.
Our methodology is to fully understand the nature of FX exposures arising within your business and financial context and to define a strategy tailored to meet your specific objectives.
Our clients include domestic and multi-national companies, state enterprises, multi-lateral agencies, pension funds.
We also work with clients in devising Commodity Risk Management strategies to meet budgets and manage competitive risks.
“FTI provides expertise in loan tracking, exposure management, accounting and reporting, and controls.”