Products & Services by Business Area

Payments and cash management
Corporates face much competition and challenges in todays global market place, and therefore must operate efficiently, with confidence and predictability. Corporate treasurers can meet this challenge using SWIFT's comprehensive payments and cash management messaging services. 

Treasury
To manage liquidity, credit, currency, interest rate and associated operational risks requires Corporate treasurers are required to efficiently manage working capital, exchange foreign currencies, take loans and make deposits,  and use a variety of financial instruments to hedge financial risks. SWIFT India offers a comprehensive messaging solution to enable straight-through-processing of these instruments.
Trade Finance
Corporate treasurers support and enable complex business initiatives and projects within their organisations. To execute these projects requires timely execution of payments to suppliers in exchange for authenticated delivery of goods and services. SWIFT enables fully electronic trade finance instruments such as letters of credit, bank guarantees, open accounts and invoice financing instruments, which are key enablers in ensuring timely payments and managing of supply chain risks.