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Corporate Cash Management

Jefferies Corporate Cash Management seeks to help our valued corporate clients increase their bottom lines by maximizing the yield on their short-term investments. Our services permit you to outsource the treasury management function.

We strive to increase your net yield, actively managing your portfolio with a disciplined investment approach that astutely considers factors such as the current yield curve, the outlook for interest rates, and your tax status. All accounts are:

  • customized and individually managed in accordance with your liquidity needs and investment guidelines, including investment quality.
  • managed by our highly experienced fixed-income professionals, using an investment discipline focused on preservation of capital.
  • provided with detailed reports designed to facilitate accounting and FASB reporting, accessible via a secure website.

*There is no guarantee that desired results will be achieved.

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