Effective funding solutions are essential for any strong and stable financial institution. Without suitable management of its own funding requirements or appropriate access to capital markets, a financial institution may not only face funding and refinancing risk but also adverse pricing, reputational damage and, potentially, failure.

Our team of funding and capital markets experts is complemented by a significant pool of talented associates with deep experience in financial markets across developed and emerging markets, across the globe.

Our expertise includes:

» Debt and Equity Funding.

» Ratings Agency Support.

» Governance and Controls.

» Risk Management including Credit, Market and Liquidity Risk.

» Investor Analysis.

» Undertaking Feasibility Studies.

» Hedging foreign exchange (FX) and interest rate risks.

» Treasury Management.

Our team of experts can provide the expertise needed to ensure a successful funding and capital markets strategy is structured and executed.

The team are also proven stakeholder managers and highly capable of negotiating best pricing on execution and placement with hands-on expertise in corporate bonds, US private placements and securitisation. Through our collective transaction experiences, we have developed practical skillsets important to addressing real transactional issues including hedging, accounting, taxation and IT matters among others.

Furthermore, as former bankers, risk management is in our DNA. We are well-versed in designing and implementing sound risk management policies, processes and methodologies gained from over 100 years of collective banking experience.

Learn more about our funding solutions and capital markets expertise by downloading our Capability Statement here »

Download our Discussion Paper on issuer ratings here »