Bank Sohar’s Treasury offers a wide spectrum of treasury services ranging from FX, Fixed Income, Interest Rate products and derivatives .We provide regular upto date information on various markets and products to our large corporate clients, small and medium enterprises and various government departments and fund managers.
Having access to global money and foreign exchange markets, we provide comprehensive cash management and risk management solutions to our valuable clients. A highly trained and experienced dealing team complemented by state of the art technology ensures reliability, efficiency and customer satisfaction besides fine pricing and structuring.
Currently, the bank’s dealing room functions between 8 am- 4 pm. Our dealers provide customers with a daily market commentary through e-mails and short SMS updates. The commentary provides a summary update of exchange and interest rates, market developments, economic indicators and projected events in the local and global markets enabling customers to make informed decisions.
All information and advice provided by Treasury is on a best efforts basis, and the clients will be responsible for the financial consequences of their own decisions. Employees of Bank Sohar shall bear no liability arising out of profits or losses arising from decisions taken by the clients.