Flexible solutions. Sharp prices
Institutional investors face unique FX challenges - from sourcing deep liquidity for large volume trades to managing cash drag from margin calls.
Limited flexibility in hedging products and an inability to secure long-tenor forwards (5+years) often restrict firms from building the robust, long-term strategies they need.
Bondford provides access to sizable margin credit facilities that reduce or eliminate margin requirements - minimising cash drag and unlocking capital to put to work.
With a flexible product suite, including historic rate rolls and long-tenor forwards, and deep, competitively priced liquidity, we enable you to execute your desired strategy with full control, and minimal cash flow implications.
IRR protection, strategically delivered
Managing short and long-dated exposures - from asset level cash flows, management fees, or foreign currency share classes requires precision. Without a robust hedging framework, these risks can quietly erode IRR and disrupt long-term performance.
In today’s fundraising environment, where investors demand consistency and confidence in projected returns, even small FX losses can put pressure on the credibility of your strategy.
Bondford provides institutional-grade currency risk management solutions across share-classes and asset portfolios - helping attract global capital, reduce volatility, and protect performance.
Our strategies are tailored to your structure and return objectives, supporting IRR consistency and strengthening investor confidence throughout the investment lifecycle.
Banking without the bottlenecks
Opening and managing accounts across multiple jurisdictions, in various currencies, is often slow, complex, and resource-intensive. Traditional banks impose rigid onboarding processes, minimum activity thresholds and layered account structures.
For investment managers, this delays deployment, adds operational burden, and limits flexibility - especially when scaling across funds, SPV’s, and international jurisdictions.
Bondford enables private capital firms to open and manage multi-currency accounts with Tier 1 counterparties across key jurisdictions - fast. No minimum activity. No bundled service requirements.
With local IBANs, platform-based access, and support for fund-specific needs like blocking certificates, we simplify banking infrastructure and deliver the control and flexibility your fund operations demand.
Testimonials
Dunn
CEO, FCA Regulated Futures Exchange
Foreign
Exchange
Benefits
Wholesale FX pricing in 130+ currencies
Same-day settlement capabilities
Wide product range to suit your needs
Online platform or voice trading
Flexible margin credit facilities to free up working capital
Currency Risk
Management
Benefits
Protect profit margins / IRR
Stabilise cashflow & earnings
Improve budgeting & forecasting
Reduce guesswork through formal policies
Easily communicate strategy to board & external stakeholders
Alternative
Banking
Benefits
Currency accounts in 30+ CCYs via a single platform
Enable clients to pay in their local currency
Pay suppliers in 140+ CCYs with full value settlement
Local routing for quicker, lower-cost x-border payments
Intuitive online platform for day-to-day payment management
Connect
Start the conversation today. Let’s explore how we can help.