Preloader Close
Scroll Down
Treasury Desk
Direct Line
+91 98200 00000
Corporate
Inquiries
contact@prashantiforex.com

Managing the Full Spectrum of
Your Corporate Treasury

One Treasury Partner. One Integrated Approach.
Professional treasury management for established exporters and importers.
Explore Solutions
Fractional Treasury
Your dedicated outsourced treasury department handling ongoing oversight, planning and execution.
Currency Risk
Protect operating margins and cash flows from foreign exchange volatility through structured hedging.
Trade Finance
Optimise export and import finance structures, review banking facilities, and lower overall borrowing costs.
Liquidity Management
Improve cash flow visibility, strengthen working capital control, and plan liquidity around business cycles.

We Understand, Strategise,
Manage & Improve.

Your business has grown. Your treasury should grow with it. International trade brings foreign exchange exposure, finance costs and working capital challenges.

Prashanti Forex becomes your outsourced treasury partner to manage these challenges, protect margins, and turn treasury efficiency into measurable business profitability.

Explore Our Approach
01. Understand
We assess your business model, transaction cycles, currency exposure, and funding structures in detail.
02. Strategise
We develop practical treasury policies tailored to your business objectives, risk limits, and profit targets.
03. Manage
We work alongside your finance team, executing agreed treasury functions with institutional discipline.
04. Improve
We continuously benchmark bank costs, evaluate exposures, and enhance overall financial efficiency.

Request Treasury Consultation

Your Outsourced Treasury Department

Fractional Treasury gives established exporters and importers access to dedicated professional treasury expertise without the overhead and complexity of building a complete internal department.

We work as an extension of your organization, taking responsibility for agreed treasury functions so your executive leadership can focus on core business growth and market expansion.

  • Disciplined Foreign Exchange Exposure & Hedging Management
  • Trade Finance, LC Structuring & Banking Cost Optimization
  • Cash Flow Forecasting & Working Capital Liquidity Control

Structured Engagement Models

Transparent, outcome-driven partnerships tailored to your business scale.
  • Monthly Retainer
  • Annual Partnership
  • Dedicated Treasury Partner Extension
  • Daily FX Exposure Tracking & Hedging
  • Bank Rate Negotiation & Facility Audit
  • Working Capital & Liquidity Review
  • Trade Finance Restructuring
  • Board & Executive Treasury Reports
  • Dedicated Treasury Partner Extension
  • Daily FX Exposure Tracking & Hedging
  • Bank Rate Negotiation & Facility Audit
  • Working Capital & Liquidity Review
  • Trade Finance Restructuring
  • Board & Executive Treasury Reports

Fractional Treasury Desk

Turnover ₹100 Cr+ Exporters & Importers
Retainer Model Dedicated Treasury Arm

Treasury Advisory & Policy

Board Governance & Hedging Limits
Advisory Framework Strategic Risk Policy

Trade Finance Optimisation

Borrowing Spreads & Facility Audit
Cost Audit Outcome-Driven

Enterprise Partnership

Full-Scope Treasury Oversight
Full Retainer Turnover ₹250 Cr+
Tailored specifically for businesses with annual turnover of ₹100 Cr and above.

Learn Directly From Treasury Experts

Practical perspectives on treasury, currency risk, trade finance, and liquidity for exporters and importers.

Actionable knowledge built on decades of banking and market experience.
Currency Risk
Market Perspective

How Currency Movements Can Affect Export Profitability

Understand how foreign exchange volatility influences business margins and practical steps to insulate your bottom line.
Trade Finance
Cost Optimisation

Ways Businesses Can Improve the Cost of Export & Import Finance

Explore practical considerations for improving finance efficiency, banking terms, and cycle times across global trade.
Liquidity
Working Capital

Why Liquidity Management Matters as Your Business Scales

Better cash flow visibility and working capital forecasting support stronger financial resilience and decision making.