QNB's Treasury Division operates on a centralised and regional basis to manage the Bank's ongoing liquidity position and offer foreign exchange and interest rate risk managment solutions to the Bank's clients using products and financial derivatives to execute trades or tailored hedging strategies.
Foreign Exchange Risk Management
Our foreign exchange solutions help clients manage the risks associated with overseas trade and currency exposure. Our spot and forward products are available for both one off and regular transactions.
Interest Rate Risk Management
For businesses with exposure to interest rate movements, we can help mitigate the associated risk through our range of interest rate hedging solutions.
Assisting investor clients with investments in fixed income markets.
For Treasury product offering including hedging and investment solutions, kindly contact the branch directly for more details.