TREASURY Corporate Treasury


Anglo Irish Bank is a business bank dedicated to providing corporate treasury solutions. Regulated by the FSA and quoted on the London & Dublin Stock Exchanges, we are fast becoming the first choice for corporate treasury risk management

Our UK Corporate Treasury Services team provides highly competitive foreign exchange rates and a second to none service, to a growing customer base.

Use our experience and proactive service to meet your Treasury needs, including:

Currency Risk management
Interest rate risk management

Service Features

  • Spot Foreign Exchange

  • A method of buying or selling foreign currency whereby the value date follows within two working days of the trade date. Products commonly "sold at spot" include Foreign Currency Drafts, Outward Payment Orders or Telegraphic Transfers and Inward Payments.

  • Forward Transactions

  • A foreign exchange transaction in which the client secures an exchange rate today for delivery on a future date.

  • Free International Payments

  • Eliminating the historical expense associated with International Business. So, all the above payment methods are free when the foreign exchange is conducted with Anglo Irish Bank.

  • Same Day Settlement

  • When a client, or the client's beneficiary, receives funds credited to its bank account on the same day that the funds were ordered from Anglo.

  • Currency Risk Management

  • Tailored Risk Management solutions, designed to minimise exposure to the ever-volatile currency markets.
Benefits To You

  • No transfer fees and more competitive rates of exchange - your imports get cheaper and your exports more profitable.
  • Designated dealers watch for requested levels to meet your orders - more time for you to run your business.
  • Stress free treasury services with no call centre service or automated answer phones - you always go direct to your account manager.
  • Years of knowledge and expertise in the currency markets at your disposal to help minimise your exposure to risk

More Information


 Subscribe to our Daily Market Commentary and Rates
 Weekly Economic Diary

Talk To Us



Contact one of the team members on 020 7710 7333 or [email protected]

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Corporate Treasury Services

Currency Risk
Management


Interest Rate
Risk Management


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