How do you manage currency risk in Qbil-Trade, calculate your expected margin, and compare it with the final result?
In September, we’re hosting a new webinar on Currency Hedging, Precalculation & P&L in Qbil-Trade. Our product specialists Christiaan Coenen and Tarik Önce will take you through the complete process, live in Qbil-Trade.
Using a practical example, they’ll show how to record currency hedges against purchase and sales contracts, work with multiple and bulk hedges, and monitor your currency position. From there, they’ll build a precalculation with purchase, transit and sales costs, and compare the expected result with the realized P&L.
We’ll also look at the relevant currency reports, hedge statuses, and the difference between currency hedging and the Futures module.
There will be plenty of time for questions, so feel free to bring your own scenarios.
→ Register now and secure your spot
Webinar (Dutch 🌷)
Date: Wednesday 2 September
Time: 11:00 CET
Language: Dutch
Location: Online
Webinar (English 💂)
Date: Wednesday 9 September
Time: 11:00 CET
Language: English
Location: Online