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Tell us which parts of GSNFX you want to understand better, we will be in contact with the relevant information, with a short note on how it applies to your business.
Pick the information that fits your business
Each pack is put together by the team that runs that part of the business, so you get specifics rather than a generic brochure. Add as many as you need.
Multi-Currency Accounts
How named accounts, collections and local settlement work in practice, and what it costs to run them.
- Currencies and settlement rails covered
- Collections and reconciliation
- Onboarding requirements
Business Foreign Exchange
How we price, how spot and forward contracts are executed, and where the desk adds value against your current provider.
- Pricing and execution approach
- Spot, forwards and market orders
- Platform walkthrough
FX Risk Management
What a written hedging policy looks like, how exposure is measured, and which structures suit your currency profile.
- Hedging policy framework
- Structured products explained
- Mark-to-market reporting
International Payments
Cut-off times, beneficiary handling and payment file uploads — including how it fits alongside your existing banking.
- Coverage and cut-off times
- Bulk payment uploads
- Approval and user permissions
Partnerships
For accountants, brokers and advisers introducing clients — commercial terms and how the referral process works.
- Referral and revenue share terms
- Client handling process
- Co-branded materials
Regulation & Compliance
Our regulatory structure, safeguarding arrangements and the due diligence pack your finance team will ask for.
- Regulatory permissions and FRNs
- Client fund safeguarding
- Data protection and GDPR
Sales desk
+44 (0) 203 854 6801
Office
Sopers House, Sopers Road
Cuffley, Potters Bar, EN6 4RY
General enquiries
+44 (0) 203 854 6802
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