Corporates

Clarity across risk, hedging and financing.

Corporate treasury teams manage currency, interest-rate and commodity risk against budgets, covenants and cash-flow targets they must be able to defend. We connect regulated advice, independent analytics and financing support so every exposure, hedge and accounting outcome can be understood within one framework.

The river Thames from the air.

A treasury policy is only effective if the people applying it can demonstrate what was hedged, why each trade was placed, whether it complied with the agreed limits and what it cost. We quantify the exposure first, then build the policy, strategy and controls around the underlying commercial risk.

Audere Advisory designs and reviews policy, structures hedging strategies and supports execution. Audere Analytics monitors exposures and hedge performance, independently benchmarks transactions and performs hedge-effectiveness testing under IFRS 9, ASC 815 and FRS 102. Audere Capital advises on debt, refinancing and financing structures. Together, they create an auditable link between policy, execution, accounting and funding.

Limiting risk, delivering efficiency.

Limiting risk, delivering efficiency.

Limiting risk, delivering efficiency.