The Challenge
Pricing that varies across providers, with limited clarity on competitiveness
Difficulty accessing deep liquidity for larger or time-sensitive tickets
Fragmented dealing workflows that create inconsistency in execution
Limited currency coverage restricting activity in certain regions
Operational friction around settlement timing, cut-offs and release windows
Challenges securing credit facilities for forward contracts without excessive collateral
These frictions affect operational reliability, increase the cost of execution and make it harder for organisations to transact confidently at global scale.
Our Solution
Access competitive, transparent pricing
Execute with clarity through market-aligned pricing sourced from a diversified network of Tier-1 regulated counterparties.
Trade with depth and flexibility
Access deep liquidity across major, minor and exotic currencies, supported by the full suite of execution instruments, from spot to forwards, swaps, NDFs and options.
Settle with confidence
Benefit from same-day availability where supported, flexible settlement windows and structured workflows that accommodate complex operational requirements.
How Bondford Works
You always face established, Tier-1 regulated institutions when executing FX. Bondford never acts as counterparty. We identify the provider whose liquidity profile, currency strength and settlement capabilities align with your execution needs and operational workflows.
You always face established, Tier-1 regulated institutions when executing FX. Bondford never acts as counterparty. We identify the provider whose liquidity profile, currency strength and settlement capabilities align with your execution needs and operational workflows.
FX Execution Capabilities
Diverse product coverage
Access the full suite of execution instruments including spot, forward contracts, swaps, NDFs and options, supported by consistent pricing and high-quality liquidity.
Extensive currency access
Execute across more than 140 currencies, spanning major, minor and exotic pairs, with settlement routes structured to support complex operational requirements.
Flexible settlement workflows
Benefit from same-day settlement where supported, alongside flexible windows, partial drawdowns, rolls and historic rate rolls to match the demands of your internal processes.
Margin credit facilities
Secure access to competitive margin credit terms for forward contracts through our Tier-1 provider network, reducing collateral burdens and improving cashflow flexibility.
Execution channels
Execute via our experienced front-office team or through online dealing infrastructure, with proactive support and timely market insights enhancing the execution experience.
The Process
We take the time to understand your currency requirements, execution patterns, settlement timelines and credit considerations, ensuring a clear picture of how your organisation interacts with the FX markets.
We take the time to understand your currency requirements, execution patterns, settlement timelines and credit considerations, ensuring a clear picture of how your organisation interacts with the FX markets.
Choose Your Path
Foreign Exchange provides a universal execution foundation for accessing competitive pricing, deep liquidity and reliable settlement across global currencies. Its implementation is tailored to the unique demands of your sector:
Insights (Broad - High-Level Solution Content)
Contact Us
Access the pricing, liquidity and settlement infrastructure your organisation needs, with expert guidance at every step.