VoiceOver users please use the tab key when navigating expanded menus

MANAGE RISK & EXPOSURE


MANAGE YOUR RISK WHEN DOING BUSINESS IN ASIA PACIFIC

As you expand and invest into new markets in Asia Pacific you'll want a banking partner that understands the complexities and nuances of the region’s financial and regulatory landscape, as well as the challenges you may face in your home market. You’ll also want that partner who knows the risks associated with transacting business across borders, and, can provide guidance on how to reduce them.

ANZ is recognised as a leading provider of foreign exchange, interest rate, credit and commodities solutions in Asia Pacific. It's also one of the world’s leading financial services groups, with an ‘AA’-band credit rating that makes it a strong banking counterpart.

Regardless of your risk appetite, you’ll receive a solution tailored to suit your needs; one transacted in the best way, at the most competitive price.

 

______
 

“CONNECTING YOU TO OPPORTUNITIES CENTERED AROUND TRADE AND CAPITAL FLOWS INTO AND WITHIN ASIA PACIFIC”

KEY SOLUTIONS


CONSULTATIVE RISK MANAGEMENT

Make better informed risk management decisions. Take advantage of our CRM solutions to identify, quantify and manage the financial market risks to your business.

Find out more


INTEREST RATE & CREDIT RISK MANAGEMENT

Be ready to take advantage of favourable movements in interest rates and avoid incurring unnecessary costs to your business through better interest rates forecasting.

Find out more


FOREIGN EXCHANGE RISK MANAGEMENT

Access unique FX opportunities across Asia Pacific, through an AA- credit rated bank that knows the region.

Find out more


COMMODITIES RISK MANAGEMENT

Transact safely with producers and consumers of commodities in fluid Asia Pacific markets.

Find out more

FEATURED CASE STUDY

case study


FX Risk Management: Analysis, Risk Modelling and Hedging Strategies

Critical success factors to consider when refining hedging strategies.

Read more

RELATED CASE STUDIES

case study


FX Risk Management: Confidentiality, Settlement and Large Currency Execution

Key factors to consider when executing large currency trades.

Read more

case study


FX Risk Management: Unique Business Requirements and Non-Traditional Currency Pairs

Having the ability to set up and deal in non-traditional currency pairings makes all the difference.

Read more

case study


FX Risk Management: Contingent Risks, Foreign Contracts and Tendering

The importance of addressing contingent risks when tendering for foreign contracts.

Read more

1) By Regulation
a. Dodd-Frank

2) By Business
a. Foreign Exchange Wholesale Disclosure

3) By Country
a. US Disclosures