Foreign Exchange PolicyForeign Exchange Policy

It is important for a business to have a clear financial strategy. This also applies to foreign exchange. While the general strategy forms the basis of all the business's financial decisions, the foreign exchange strategy is part of the basis of handling import and export transactions.



A Foreign Exchange Policy will give you a clear picture of your current risk. Danske Bank can help you implement your chosen strategy.

Speak to your Account Manager who can arrange for one of our Treasury professionals to contact you to discuss Foreign Exchange Policies and hedging currency risk.
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Danske Bank A/S
London Branch,
75 King William Street
London EC4N 7DT
United Kingdom

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Fax: +44 (0)20 7410 8001

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Danske Bank A/S, London Branch, 75 King William Street, London EC4N 7DT, United Kingdom. Telephone: +44 (0)20 7410 8000 Facsimile: +44 (0)20 7410 8001 E-mail: london.info@uk.danskebank.com. VAT number: 853 7590 92. Danske Bank A/S, London Branch is authorised by the Danish Financial Supervisory Authority (Finanstilsynet) and is subject to limited regulation by the Financial Services Authority. Details of the extent of our regulation by the Financial Services Authority are available from us on request. Member of the London Stock Exchange. Registered Branch in England and Wales, Company No. FC011846, Branch No. BR000080. Danske Bank A/S, Incorporated in Denmark, CVR No. 61 12 62 28 Copenhagen.

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