Competitive spot pricing
Aggregated liquidity from licensed Tier-1 and Tier-2 providers — visible spread, no hidden markup.
Spot, forward, and hedging solutions priced through licensed liquidity providers — designed for operating businesses, not speculative desks.
The spread you pay, the timing you settle, the exposure you carry between invoice and payment — these numbers compound into material drag on margin and predictability. Most operating businesses either over-pay or under-manage, often both.
Our treasury desk operates as a coordinated extension of your finance function. Pricing comes from a curated panel of regulated liquidity providers, execution is transparent, and forward and hedging tools are structured around your real exposures — not sold as products.
Every element of the FX and treasury mandate is run with the transparency and reporting discipline your board and auditors expect.
Aggregated liquidity from licensed Tier-1 and Tier-2 providers — visible spread, no hidden markup.
Standard, flexible, and non-deliverable forwards for known future exposures.
Rolling hedges, layered strategies, and policy-driven execution aligned to your treasury mandate.
A transparent view of balance-sheet and transaction exposure across entities and currencies.
Rules-based FX sweeps and auto-settlement tuned to operational flows, not trader behaviour.
Machine-readable confirmations, settlement tracking, and post-trade analytics in one dashboard.
Managing multi-currency P&L and translating exposure into policy.
Running recurring physical-delivery hedging programmes at scale.
With known receivable/payable timelines and predictable currency pairs.
Currency-denominated asset pools requiring transparent execution and reporting.
We document the size, timing, and shape of your FX flows across entities and currencies.
We propose hedge ratios, instrument mix, and governance appropriate to your risk tolerance.
We operate the mandate with full transparency, reporting, and post-trade analytics.
Multi-currency accounts, cross-border rails, and centralized treasury across 100+ currencies.
View service ↗Cards, bank transfers and multi-currency acceptance through a single integration.
View service ↗Compliant on-ramps and off-ramps between fiat and digital assets, built for institutional use.
View service ↗Every initial conversation is private and without obligation.
Swiss Quantum Finance AG operates as a financial intermediary affiliated with SO-FIT, a FINMA-recognised self-regulatory organisation under the Swiss Anti-Money Laundering Act (AMLA). Client assets are held under segregated Swiss custodianship and reconciled daily against third-party trustees.