BNU - Macau

cash-treasury-management

Cash & Treasury Management

 

We understand how critical is for our clients to meet scheduled payments and manage receivables, maximize returns on deposits, reduce excess account balances or hedge foreign exchange or interest rate risks as well as monitor the company cash flow position.

 

 

To find out more, contact us to arrange for an in-depth discussion of your unique needs.

Cash & Treasury Management
BNU Hotline

Please call  2833 5533 for information (office hours) or to report lost cards (24 hours)