
ON DEMAND WEBINAR
Mastering debt management with Fairways Debt
Fairways Debt can help you monitor debt, optimise financial costs, and reduce risk exposure.
Discover how Fairways Debt can transform your debt management strategy
Designed for Head of Treasury, CFO, Finance Manager, Investment Manager, Capital Market Teams and Debt Managers, this session showcases how our intuitive platform can help you monitor debt, optimise financial costs, and reduce risk exposure.
Highlights include:
Financial Market Feeds & Modelling Engine: Save time and reduce operational risk with live market data integration, ensuring daily updates to analytics, debt indicators, and cash flow projections for a comprehensive, up-to-date portfolio view.
Sensitivity Analysis & What-if Scenarios: Stress test your portfolio by simulating new transactions or market shifts, leveraging built-in analyses (e.g., debt maturity profiles, interest expenses, fixed/floating rate exposure) to proactively assess FX curve impacts, interest rate shocks, and refinancing or extension strategies.
Calendar & Workflow Management: Stay on top of deadlines with automated event creation, reminders, and task management, allowing you to monitor loan portfolio events, set custom alerts, and track workflow progress efficiently.
For over 20 years, professionals across Europe have trusted Fairways Debt to enhance their debt portfolio management. Our platform offers an intuitive interface and robust functionalities that streamline oversight, allowing you to analyse, monitor, and optimise your debt positions effectively.
Meet the speakers

Benoit Desmarest
Senior Real Estate Solution Expert

Elliott Salle
Key Account Manager
