Within the last few years we have witnessed a global credit crisis, sovereign bail-outs, and an ongoing geopolitical crisis affecting much of the Middle East. Companies which trade or invest in overseas markets, and banks which lend to those companies, are exposed to contract default or political intervention.
Our team ensures you are aware of all of the risk mitigation and risk transfer options available to you, along with data on the latest market trends. We make sure you have the right level of information required to explain your decisions to your employees, board members, and shareholders.
Our areas of expertise include: corporates, financial institutions – trade, commodity, export, structured and project finance, and trading houses – stocks, fixed assets, and non-payment.