Treasury & Portfolio Finance

Market Research & Intelligence

Mondrian Delta’s Front Office Treasury coverage includes a wide array of alternative investment managers across Hedge Funds, Asset Managers and Liquidity Providers. Our expertise covers portfolio financing, inventory management, margin optimisation, development of treasury infrastructure and technology and risk management across liquidity, capital and collateral.

Mondrian Delta has developed a comprehensive understanding of various team structures, responsibilities and treasury strategies, enabling us to provide targeted and specialised support for alternative investment managers to grow their teams and improve their Treasury management and financing capabilities.

Part of this offering also includes a detailed breakdown of areas such as cost structures within funds, i.e. how a PM is charged for repos in his portfolio, colour on compensation for Treasury professionals, as well as colour on metrics for the alpha which Treasury optimisation strategies can and have captured.

Targeted Growth Solutions

Mondrian Delta’s expertise has enabled us to collaborate with leading buy-side businesses and subsequently enhance their capabilities specifically across:

  • Fixed Income Financing
  • Equity Finance & Securities Lending
  • Liquid & Private Credit Financing
  • Commodities Financing
  • Balance Sheet Access
  • Treasury Risk Management
  • Treasury Quantitative Research & Development
  • Treasury Investment & Optimization

Further reading relating to our Investment experience below.

Marketing to the Middle East

Read

Truth vs Myth - Addressing Common Misconceptions on Marketing Funds to the Middle East

Asset Raising & Retention

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How to be a Successful Business Builder

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15 Questions with Rahul Moodgal

Asset Raising & Retention

Read

The Evolution of Quantitative Risk Management in Hedge Funds

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Quantitative risk management has been a popular topic of discussion among hedge fund managers in 2021.

Macro

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