SABB Treasury provides comprehensive foreign exchange services to corporate and institutional clients in Spot, Forward, and Currency options (both Vanilla and Exotic). We work on helping you find the best solutions to hedge currency exposures ranging from emerging to G7 currencies.
Our team provides interest rate risk management solutions for our clients for both assets and liabilities. Solutions may range from simple vanilla structures used to manage underlying debt facilities to complex interest rate structures that incorporate intricate cash flows to exactly manage an underlying finance project.
Our team provides attractive rates in deposits and loans (SAR and foreign currencies).
Our team provides competitive pricing on conventional bonds and Islamic Sukuk's both from local and international markets.
Our structuring capabilities enable us to offer our clients innovative and cost-efficient solutions through a combination of various derivatives to best fit their financing requirements.
We provide hedging solutions structured to address our clients’ major financial risks, being gold or silver prices in addition to metal lease rates. Products range from a simple gold forward to gold option and metal-based structures.
We generate and distribute our own analysis. Our daily, weekly, and monthly reports cover regions including G7 and Emerging Markets. In addition to, HSBC’s timely in-depth economic market analysis and market research reports.
We offer a wide range of Islamic Treasury products and solutions including interest rate hedging, Islamic Foreign Exchange Forwards, and Islamic Currency Options.