Risk Management

Risk management is an integral to Glenmex’s long term business development and sustainable growth strategy. We manage risk in a holistic manner throughout the core of our business processes and corporate governance procedures. We have implemented robust risk management strategies and intelligent mechanisms that deliver most comprehensive and deep functionality in our end-to-end commodity supply chain.

We engage in are evaluated and considered from a risk-adjusted perspective. These supplementary efforts enable us to eliminate or significantly mitigate risk across all our operations and safeguard our position in the marketplace as a trader and supplier of choice for our partners and clients across the world.

Glenmex risk management practices covers Trading Risk Management, Price Risk Management, Counter-party Risk Management, Insurance covering of entire transitions.

We have employed advanced system which delivers complete control over trading operations, enabling each of our traders to optimise position management and leverage real-time information to take advantage of market movements. Being Commodity prices are inherently volatile, making business planning a complicated exercise due to diverse variables that influence price variations. Price Risk Management desk is functionally integrated at the core of our business operations involved in global sourcing, trading and supply of commodities.

To measures, manages, and mitigates the risk arising from counter-parties, our team and technological platform addresses the entire credit risk process and provides a full range of credit analysis and operational tools in the key areas of exposure, collateral, and counter-party management.