Financial infrastructure for organisations that lead
Nobil Trust Bank provides sophisticated treasury management, structured lending, trade finance, and foreign exchange solutions to corporations, institutions, and public sector bodies. Our senior bankers work alongside your treasury and finance teams to deliver bespoke solutions at the scale your organisation demands.
Comprehensive products for institutional clients
Every product is structured around your organisation's specific requirements, delivered by a senior banker with deep sector expertise and supported by our full institutional infrastructure.
Treasury Management
We work directly with your treasury function to optimise liquidity, manage interest rate exposure, and ensure your organisation's cash positions generate maximum return with appropriate risk controls. Our solutions cover multi-currency cash pooling, short-term investment of operational surpluses, and liability management across multiple jurisdictions.
- Multi-currency cash pooling and automated sweeping
- Liquidity management and overnight placement
- Interest rate risk hedging and swaps
- Online treasury portal with real-time consolidated reporting
- Dedicated treasury analyst assigned to your account
Trade Finance
Support your import and export operations with a full suite of documentary trade products. From letters of credit to documentary collections and structured commodity finance, our trade finance team facilitates cross-border transactions across all major corridors, including emerging and frontier markets, with connectivity to over 60 correspondent banks globally.
- Import and export letters of credit
- Documentary collections and bank guarantees
- Supply chain and receivables finance
- Commodity and structured trade finance
- Connections to 60+ correspondent banks worldwide
Foreign Exchange
Access competitive FX rates through our institutional dealing desk, with support for spot transactions, forward contracts, and structured FX solutions designed to hedge currency exposure across your operational and financing activities. Our FX team covers all G10 and a wide range of emerging market currencies, with same-day execution on major pairs before 2pm.
- Competitive spot and forward FX rates
- FX risk management and structured hedging strategies
- Multi-currency accounts in 20+ currencies
- Same-day execution on all major currency pairs
- 24/5 institutional FX dealing line with live rates
Corporate Lending
Structured credit facilities from $5 million upwards, including revolving credit facilities, term loans, acquisition finance, and project finance. We offer both bilateral and syndicated structures, and our credit team works directly with your finance function to build debt programmes that match your cash flow profile, covenant preferences, and strategic objectives.
- Revolving credit and term loan facilities from $5M
- Acquisition and leveraged finance
- Project and infrastructure finance
- Syndicated facilities for larger capital requirements
- Covenant-light structures for investment-grade credits
The partner that understands institutional scale
We are not a retail bank adding corporate products as an afterthought. Our institutional division was built to serve organisations where complexity, confidentiality, and execution speed are non-negotiable.
Senior Banker Access
Every corporate client works directly with a senior relationship director, not a call centre or rotating analyst. Your banker is accountable, experienced in your sector, and empowered to make decisions on behalf of the bank.
Global Connectivity
Through our correspondent banking network spanning 60+ countries and memberships in major payment systems, we can move capital, settle trade, and provide custodial services in virtually any jurisdiction where your business operates.
Regulatory Confidence
Fully authorised and regulated by the FCA and PRA, with a strong capital position and a clean regulatory record. Our compliance teams are experienced in complex cross-border structures and can support your own governance requirements.
Bespoke Structuring
We do not offer off-the-shelf corporate products. Every facility, every trade structure, and every FX programme is built around your specific organisation, its industry, jurisdiction, credit profile, and strategic objectives.
Speed to Close
Our credit committee process is streamlined for corporate clients. Most bilateral facilities move from mandate to facility agreement in under three weeks, with same-day decisions on operational credit lines for investment-grade borrowers.
Absolute Discretion
Sensitive strategic matters require complete confidentiality. All corporate engagements are governed by written NDA frameworks before any exchange of commercially sensitive information, and your banker operates under strict confidentiality protocols at all times.
One senior banker. Total accountability.
Corporate clients at Nobil Trust Bank are not managed by a team, they are served by a named relationship director who holds full accountability for every aspect of the banking relationship. Your director attends your premises, participates in your treasury reviews, and has the seniority to commit the bank to decisions in real time.
We deliberately maintain a low client-to-banker ratio so your director has the capacity to genuinely understand your business, not just your loan facility, and to anticipate your needs before they arise.
- Named senior relationship director from your first day
- Direct mobile and email access, no gatekeepers or queues
- Quarterly strategic banking reviews at your premises
- Annual credit review with board-level presentation available
- Priority access to new products before public launch
- On-call availability for urgent treasury and credit decisions
Let's discuss what Nobil Trust Bank can do for your organisation
Our corporate banking engagements begin with a confidential briefing between your senior team and ours. No obligations, no pitch decks, just a direct conversation about your requirements and how we can meet them at institutional scale.