International Payments Smarter International Finance. Lower Banking Costs. We connect your business to institutional FX and payment infrastructure designed to reduce costs and improve transparency. Schedule a Consultation Fixed | Flexible | Dynamic Protect Your Margins.
Secure Your Exchange Rates.
Secure your exchange rates in advance and make your financial results more predictable — independent of daily market fluctuations. Hedging Solutions

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Our solutions

Why SolveX Partners?

We connect you with the most suitable institutional solutions — aligned with your cost optimization and risk management objectives.

International Payments

Through regulated institutional infrastructure, we enable efficient and cost-conscious execution of corporate FX transactions.

  • Fast execution
  • Competitive exchange rates
  • Lower transaction fees
FX Risk Management

We support corporates in structuring and optimizing their FX exposure through tailored and risk-aligned hedging solutions.

  • Rate locking solutions
  • Margin protection
  • Predictable financials
Treasury Support

We support the efficient optimization of corporate FX processes through an independent treasury-driven approach.

  • FX strategy development
  • Cash flow stability
  • Dedicated support
SolveX Partners

How transparent are your company’s FX costs?

SolveX Partners operates under an independent treasury advisory model, supporting companies with international exposure in optimizing their banking infrastructure and foreign exchange processes.

Our approach is built on cost efficiency, transparency, process acceleration, and strengthened financial control.

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Treasury approach
Our process

A structured approach

Step 1

Financial Diagnosis

We analyze FX exposure, payment schedules, and the current cost structure to obtain a precise understanding of underlying financial risks.

Step 2

Strategy Development

Through the use of forward transactions and structured hedging solutions, we support the fixation of FX exposure and the predictable management of financial risk.

Step 3

Institutional Execution

Execution is carried out through regulated institutional partner infrastructure, ensuring competitive market pricing and transparent execution.

Step 4

Ongoing Monitoring

We regularly review open exposures and forward positions to ensure that clients’ financial operations remain stable, controlled, and competitive.

Through a regulated institutional partner platform, we provide access to modern, multi-currency financial solutions — enabling your company to operate with stability, transparency, and a controlled cost structure.
Dedicated IBAN accounts
Payments in 130+ currencies
Full transaction tracking and reporting
API integration & bulk payments
Liquidity control & User permission management
Dedicated expert support
FX RISK MANAGEMENT SOLUTIONS

Structured Forward Hedging Instruments

The appropriate structure is selected based on your company’s FX exposure and cash-flow profile.

Fixed Forward Contract
The classic “one-date” rate fixing solution — the currency purchase or settlement takes place at a predetermined exchange rate on a specified future date aligned with your cash-flow timing.
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Fixed Forward Contract
A szerződés lejáratakor a teljes összeg a rögzített árfolyamon kerül elszámolásra.
  • Pre-agreed exchange rate leve
  • Defined maturity date
  • Full elimination of market risk
  • Accurate cost and cash-flow planning
  • Obligation to settle at the fixed rate
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Flexible Forward Contract
A time-window rate fixing solution that allows execution in multiple tranches, aligned with your company’s cash-flow schedule and payment obligations.
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Flexible Forward Contract
Az ügylet a meghatározott időszakon belül, több részletben hívható le.
  • Pre-agreed exchange rate level
  • Execution within a specified time window
  • Multiple drawdowns allowed
  • Aligned with cash-flow scheduling
  • Full contracted amount must be utilized
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Dynamic Forward Structure
A structured solution that secures a minimum exchange rate level, while allowing participation in more favorable market movements under predefined conditions at maturity.
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Dynamic Forward Structure
Előre rögzített feltételek mellett kedvezőbb piaci árfolyam érvényesülhet.
  • Secured minimum exchange rate level
  • Defined market conditions
  • Potential to benefit from favorable market movements
  • Customized contractual structure
  • More complex settlement mechanism
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Contact Us

Call us: +36 30 237 6060

What can you expect from the first step of our collaboration?

Cost improvement opportunities
Optimization of international payments
Review of FX exposure
Fast response
Expert support
Complimentary consultation

    Request a Consultation

    Basic Information Company Details Submit

    Request a Consultation

    Basic Information Company Details Submit

    Request a Consultation

    Basic Information Company Details Submit

    Your preferred time window

    INDUSTRIES

    Industries We Support

    INTERNATIONAL PAYMENTS • FX RISK • TREASURY

    “Our role and responsibility”

    Our objective is not only that clients execute transactions,but that they fully understand their financial impact.

    SolveX Partners

    Strategic Financial Advisory

    01. What is the role of SolveX Partners?
    SolveX Partners supports companies as a strategic treasury advisor in optimizing their FX exposure, international payment structures, and treasury operations.

    We do not operate as a financial institution; rather, we act as a decision-support partner.
    02. Do we handle or hold client funds?
    SolveX Partners does not hold, safeguard, or manage client funds under any circumstances, and does not operate as a licensed financial services provider.

    Our operating model does not create institutional or counterparty risk for our clients.
    03. Who executes the transactions?
    Execution is carried out exclusively through the infrastructure of licensed and regulated financial institutions.

    SolveX is not a payment service provider and does not provide regulated financial services.
    04. What is our specific scope of responsibility?
    As an independent treasury advisor, we:

    – analyse
    – provide recommendations
    – structure
    – optimise

    Execution and the provision of regulated services remain the responsibility of the partner institution.

    Frequently Asked Questions

    About our operations, processes, and collaboration framework — so you can clearly understand how we support your company in building a more structured, cost-efficient, and financially disciplined operation.

    What type of companies is SolveX ideal for?
    For companies with annual foreign exchange volumes starting from approximately EUR 100,000, where optimizing FX processes can already deliver measurable financial impact.
    How does SolveX differ from a traditional bank?
    Banks operate as financial service providers, offering proprietary products and executing transactions.

    SolveX operates as a strategic treasury partner, focused on designing and optimizing foreign exchange and payment structures.

    Transaction execution is carried out exclusively through regulated financial institutions.
    Do I need to change my current provider if I work with SolveX?
    Not necessarily.

    The objective is not bank replacement, but the establishment of an optimal treasury framework.

    The institutional setup is designed to serve the client’s business interests — never the reverse.

    In our experience, a properly structured model can consolidate multiple parallel financial relationships into a more streamlined operating framework with improved cost efficiency.
    How quickly can the cooperation start?
    The initial strategic consultation can typically be scheduled within a few days.

    The development of the treasury structure and operational launch can generally be completed within 1–3 weeks, depending on the client’s preparedness and the required administrative steps.

    Our objective is to ensure a swift implementation, while establishing structurally sound and transparent foundations.
    How does a collaboration with SolveX begin?
    Each collaboration starts with a structured treasury review.

    We assess foreign exchange exposure, existing banking arrangements, and operational risk factors, and subsequently design a proposal for an optimized treasury framework.
    How does treasury optimization generate value?
    The value creation typically manifests through:

    – narrower transaction spreads
    – improved cash-flow predictability
    – reduced foreign exchange exposure
    – and enhanced transparency of banking cost structures.
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    Lépjen velünk kapcsolatba!

    1138 Budapest, Magyarország

    Hívjon minket: +3630 237 6060

    Írjon nekünk: Office@solvexpartners.hu

     

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    Contact Us:

    1138 Budapest, Magyarország

    Call Us: +3630 237 6060

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    Charlotte Sophia

    Human Resources Manager

    Phone Number: (234) 109-6666 

    Biography

    As a pillar to CID Consulting, Mr. Fahmy brings significant perspective and talent in institution building, communication and human resource development with the Private sector. Mr. Fahmy is the current CEO of the American Chamber of Commerce in Egypt (AMCHAM).

    business association of the region. Mr. Fahmy served as Deputy Director of the Egyptian Center for Economic Studies and serves on the board of a variety of private enterprises. He is duly recognized for his prominent contribution to important advances in Egypt’s business environment.

    Achievement

    Aclimandos joined the American Chamber of Commerce in Egypt in 1983. He was elected to the board of governors in 1987 and re-elected in 1988 and 2007. Donor Programs committees, and as vice president, membership from 2001 to 2005. Aclimandos was elected President of AmCham Egypt in 2013 and served for two consecutive terms till 2017.