Weekly Treasury Market Brief
Concise synthesis of interbank placement rates, system liquidity balances and yield-curve shifts.
Request sample reportRightShore Research & Intelligence is the outsourced research desk for corporate treasury teams across Nigeria and frontier Africa — tracking rates, liquidity and the yield curve so your team can act on the market, not chase it.
No long-term contract required for the Essential tier — cancel anytime.
RightShore Research & Intelligence acts as a specialised extension of corporate treasury teams, financial institutions and investment committees across African frontier markets.
We deliver independent macro research, liquidity tracking, yield-curve analytics and board-level documentation designed to de-risk working capital and help you capture fixed-income yield — without the cost of building an in-house unit.
Rate volatility, FX exposure, board reporting and headcount cost — the four pressure points every treasury desk is measured against, and where we plug in directly.
Interest-rate shifts, fixed-income pricing and system liquidity tracked continuously, so placement decisions are timed to the corridor — not the calendar.
Structured currency outlooks, FX-buffer adequacy tracking and macro pass-through analysis to protect working capital from rate and currency shocks.
Dense market data turned into board-ready papers, CFO summaries and investment-committee briefs your executives can act on in one read.
Direct access to senior economists and fixed-income strategists, scaled up or down with your reporting calendar — at a fraction of an in-house desk.
Five modules, each mapped to a recurring treasury decision — subscribe to one or bundle across your full reporting calendar.
| Service category | Scope & intelligence focus | Primary target outputs |
|---|---|---|
| Fixed Income Research | Coverage across Treasury Bills, Government Bonds, Corporate Bonds, Commercial Papers, Eurobonds and yield-curve dynamics. | Debt-market commentaries, auction projections, investment strategy notes. |
| Foreign Exchange Intelligence | Exchange-rate outlooks, FX market commentary, currency risk analysis, import/export implications and hedging strategies. | Weekly FX outlooks, currency exposure briefings. |
| Liquidity & Cash Management | Liquidity planning, cash-flow forecasting, working-capital optimisation, cash investment options and banking-relationship reviews. | Treasury performance reviews, liquidity guidance. |
| Macroeconomics & Commodities | GDP trajectories, inflation watch, fiscal/monetary policy analysis, country-risk assessments and crude oil/energy transmission metrics. | Monetary policy flash notes, commodity impact analysis. |
| Executive Writing Services | Professionally researched, structured and polished communications tailored for C-suite and governance bodies. | Board papers, CFO briefings, investment papers, annual treasury reports. |
Two excerpts from our recurring briefs — the same depth and formatting your treasury desk would receive.
Concise synthesis of interbank placement rates, system liquidity balances and yield-curve shifts.
Request sample reportDecision-ready executive documentation for Board Audit, Risk and Treasury Committees.
Request sample reportA structured workflow designed to deliver actionable intelligence seamlessly into your existing reporting cycle.
Assess your treasury structure and risk exposures.
Define research modules and delivery cadence.
Quantitative modelling and data gathering.
Editorial and technical quality control.
Digital dispatch or API data-feed push.
Continuous coverage, adapted as conditions shift.
Every tier includes direct analyst access — the difference is depth, cadence and how much of your board documentation we take off your desk.
Subscribe to our complimentary Weekly Treasury Market Brief, or schedule an executive discovery session with our senior analysts.