Treasury Group
Treasury is responsible for managing interest rate, exchange rate and liquidity risk emanating from bank’s balance sheet and trading activities.
ABL Treasury is one of the most active players in interbank foreign exchange and sovereign debt securities market. We strive to provide the best prices to our valued clients with an objective to grow a mutually beneficial long term relationship.
With ABL’s extensive network of branches and correspondent banking relationship we are well positioned to help our clients in meeting their transaction / payment requirements.