Currency Contracts tab list all the Forex Currency contract where base currency is USD. Currency Contracts are created using Derivatives module.

  1. Create Currency contract following  How to create currency contract 
  2. Go to Risk Management > Activities > Currency Exposure
  3. Click on 'New'
  4. Go to 'Currency Contracts' Tab
  5. Select following details in header section of the screen 
    1. Batch Number: Auto Populated upon saving the record
    2. Batch Date: Select current date
    3. Commodity: Select the commodity you want to enter the details e.g. 'Corn'
    4.  Weight Unit: Select the Unit of measure you want to enter the details
    5. Currency: Select 'USD'
    6. Future Closing Date: Select current date
  6. Click on Load button, this loads all the currency contract which are active



Field descriptions - 

  1. Cont. No.: Displays Currency Contract number which is auto generate when the contract was captured using Derivatives module
  2. Date: Displays the Currency Contract creation date, date is auto generated when the contract was created
  3. Type: Displays contract type, if the contract is Buy or Sell
  4. Bank: Displays the Contract issuing Bank 
  5. Maturity Date: Displays Contract maturity date when the Currency Contract matures. 
  6. Currency Pair: Displays contract currency pair 
  7. Bal. Cont. Amount: Displays the Balance Contract Amount 
  8. Currency: Displays Balance Contract amount currency
  9. Exchange Rate: Displays the currency exchange rate of the contract
  10. Ex Rate Currency: Displays Exchange currency, this is the currency which is delivered on contract maturity
  11. Bal. Mat. Amount: Displays the contract maturity amount, this is the amount which is delivered on maturity
  12. Bal. Mat. Currency: Displays the contract maturity currency.



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