Helping you manage risks with confidence
- Executing day-to-day FX trades and hedging longer-term FX exposures
- Interest rate risk management
- Money market solutions to support your liquidity and cash management needs
We provide foreign exchange, money market and interest rate solutions that are tailored to fit your specific needs.
We provide bespoke solutions for the needs of our Institutional Banking clients that are tailored to fit your specific needs as a business.
Work with our specialists who can help devise, implement and manage your liquidity strategy risk management strategy and help you find the most appropriate solutions for your needs.
Our solutions include:
A multi-currency online banking solution that’s designed to meet your international and domestic banking needs.
See real time indicative rates across multiple currencies, view and transact single and multiple FX trades.
From expert analysis to news and insights, our knowledgeable team will keep you up to date with latest industry developments.
Tom Colclough, head of customer journeys for institutional banking at RBS International, considers disruptive forces in the industry and how incumbents might respond.
Glenn Exton, head of data and analytics at RBS International, discusses the importance of asking the right questions and how to identify them in order to yield the most transformative insights.