Foreign exchange, interest rates and commodity risk management
At Andisa Capital we believe that any organisation with market exposure, irrespective of its size, should have a framework that directs its risk management decision-making. We therefore recognise the need to apply a holistic approach to the management of financial market risk which adequately addresses issues, including governance, the business impact of relevant risk factors and the appropriate risk-mitigating strategies.
Andisa provides an independent service and will partner with you to pursue your risk management objectives.
- Improved risk management strategy
- Competitive pricing of hedging structures
- Efficient execution of risk management strategies
- Accurate, reliable risk reporting e.g. mark-to-market, sensitivity analysis, VaR
- Independent fair value of financial instruments
- Accounting requirements taken into account at inception
Contact us now and speak to us about your treasury requirements
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