Ogier Treasury provides centralised cash management services enabling access to a number of banking institutions.
Our team of treasury professionals has created strong relationships with select bankers which, together with the aggregated buying power of our clients, allows highly competitive rates of interest and foreign exchange pricing to be negotiated.
Cash balances may be split across different banks to diversify counterparty risk, through a cost effective and administratively efficient process, without the need to open multiple individual bank accounts.