Corporates
All businesses will at some stage have substantial funds to put to work.
These should be intelligently invested for growth, while minimising treasury risks.
Anglo Irish Bank’s corporate treasury team helps businesses of every scale grow and protect cash reserves, short, medium and long-term.
Features and benefits
- Short, medium and long term deposit term options
- Market leading rates across all tradable currencies
- No fees or charges
- Superior bespoke service
How we partner with you:
- There's more to supporting customers than offering the best rates. The secret is to offer the best rates consistently. That’s what we do, day after day, year after year.
- For an organisation like yours, we’ll get to know what your fund flows are. Then we’ll offer customised deposit and currency risk management solutions that make your money work intelligently.
- We’ll ensure you receive a level of support matched to your requirements and a service that is delivered in an efficient yet simple and straight forward way.
Products
Deposits (minimum £500k)
- Overnight to Five Years
- Fixed or Variable Rate Returns
- Full currency deposit suite
- Consistent Market Leading Returns
- No penalties, costs, charges or fees
- Yield enhanced deposits
Currency Risk Management
(from simple overseas currency risk to structured hedging solutions)
- Spot FX
- Forward FX
- Options
- Structured Solutions
- Portfolio construction
Open an account
Contact us to discuss your specific requirements:
Telephone:
Deposits enquiry line
Tel: +44 845 045 2712
Online enquiry form:
Cick to open enquiry form
Post:
Anglo Irish Bank Corporation Ltd
10 Old Jewry
London EC2R 8DN
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