OUR APPROACH TO CASH MANAGEMENT
Rigorous credit and risk management, combined with access to J.P. Morgan’s global resources and expertise, help us to deliver the most effective short-term cash management and fixed income solutions.
We utilize our broad range of strategies and collaborate with our clients to meet their operating, reserve and strategic cash objectives.
BUILDING STRONGER LIQUIDITY STRATEGIES
We have 126 dedicated global liquidity professionals, 20+ analysts, with an average of 22 years of industry experience.
Our team takes a disciplined approach to risk management to ensure liquidity, preserve capital and maximize yield.
Our outcome-oriented solutions are designed to address client needs with customized solutions available in 10 currencies.