Corporate Banking & Treasury

The Finalysis service focuses on assisting the corporate client, through existing banking relationships, to manage its daily net liquidity - across currencies and, independently of whether net borrowed or in surplus, to optimise interest, receivable or payable, and to minimise interest and currency risk.

Aspects reviewed include:

  • The level, structure and cost of Borrowings, (especially for working capital).
  • The distribution of currency assets, cash flows and cash forecasts
  • Bank treasury systems in use and client cash management procedures
  • Corporate risk policy on:
    • Liquidity
    • Interest Rate
    • Currency
  • Investments and Bank Deposits
  • Bank Charges:
    • Interest
    • Transactions

Finalysis SA (Pty) Ltd
Suite L3 Pinewood Square
33 Riley Road
Woodmead
Sandton
South Africa

PO Box 2434
Rivonia 2128

T: 0027 11 807 3630
F: 0027 11 807 8488

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