The team at TBSM has extensive experience in both treasury management and the capital markets with a focus on interest rate risk and liquidity risk management. We work with our clients in increasing the overall effectiveness of their Treasury. This is achieved by having improved Treasury strategies, providing understandable risk metrics and policy limits as well as improved reporting. Treasury effectiveness is further enhanced by increasing the frequency of all key risk reporting to daily.
Our consultants work with you to understand your business, assess risk exposures and develop hedging programs to manage them.
Please contact us for further information on how we can improve the treasury and risk management process at your institution.