
Treasury Consultancy
MPC has provided a number of clients across a broad spectrum of industries to identify both the source and extent of risks in their treasury operations and procedures. This has been achieved on two distinct levels – CONSULTANCY and TRAINING
CONSULTANCY
For an agreed fee MPC will address the concerns of a client in a specific area. Our service commences with an initial meeting to identify the exact concerns our client has. The second stage is the production of an interim report to ensure that all areas have been addressed. Finally, we meet with the client and talk through the final written report to provide maximum clarity on the areas covered.
The Management at MPC have many years experience in Treasury Products and can provide assistance in minimising risk and identifying appropriate products and strategies in:
Money Markets - Cash Management
Foreign Exchange - Spot, Forward and Swaps
Derivatives - Interest Rate and Foreign Exchange
Trade Finance - Letters of Credit, Bonding and Guarantees
TRAINING
For an agreed fee MPC will provide product and risk management knowledge covering three specific areas of:-
· Managing Interest Rate risk
· Managing Foreign Exchange risk
· Managing Trade Finance risk
We understand that the requirements of each client will be different and we deliver these tailor made courses/solutions to suit each company’s requirements, working closely with them to ensure that every aspect of the course is relevant to the participant and their company. These courses are delivered at our client’s premises to minimise disruption to their working day.
Please call us for an initial chat on 01565-755400 or email: consultancy@mpctreasury.com
