Access the report
1800 01 01 81
Cash is the life force of your business.
Could yours work harder?
FIIG’s Money Market Optimiser is a liquidity management solution that makes the most of your organisation’s cash.
Optimiser applies your unique investment criteria and matches it to optimal non-pooled deposit opportunities across 80 ADIs.
FIIG Optimiser’s cash management platform puts you in control. Improve your yields and simplify compliance – while also saving time and money.
A single view of your cash
With over 20 years’ expertise in money markets, only FIIG has the relationships and resources to improve your cash returns – in any market cycle.
In control – you hold the keys to your cash, and direct FIIG in line with your investment preferences.
Line of sight – discretionary control is passed to FIIG, but you have full visibility over every decision.
Cash is a low risk investment – unless you place it in the wrong hands. We’ll design your liquidity management to match your cash flow and target duration with institutions that meet your preferences.
Continuous cash optimisation requires rigorous attention to detail. Anything less creates risk.
Talk to an expert on
1300 337 674
Copyright © 2017 FIIG Securities Limited | ABN 68 085 661 632 | AFSL No 224659 | Financial Services Guide | Sitemap | About us
FIIG provides general financial product advice only. For a copy of our disclaimer please refer to fiig.com.au/disclaimer
*Rate as at 20 November 2017 and are subject to change and before fees. See our Financial Services Guide for any applicable fees.