BelPay introduces a novel service that helps internationally trading corporate treasury to control risks and losses when changing from one currency to another, investing or transferring money across the globe.
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In our new International Cash and Liquidity Management Audit Service to the internationally trading corporations, BelPay defines individualized written policies and guidelines for your corporate treasury based on its comprehensive analysis of your international operations. The resulting guidelines will help your international treasury to better monetize international cash operations by controlling risks and losses when changing from one currency to another, investing or transferring money across the globe.