Our Hedge Policy and Execution Services help you mitigate these kinds of currency risks in your business. We begin by preparing a Hedge Policy for your firm and obtaining approval from your board.
Once approved, our team executes Yosaney’s Proprietary Value at Risk based hedging strategy to mitigate the currency risk. Our monthly strategy report is across
Financial Performance
A simple accounting view. Report the difference between the price at which you have booked a forward, and the price at which you have/would have converted at a cash-spot.
Risk Analytics Monitoring
A Value at risk view. A view of volume through forwards and volume not yet covered over the next 12 months. Evaluate the planned expenses over the next 12 months to find value at risk.
Stress test scenario
A ‘what if’ view. Assemble 3 scenarios each for the currency appreciating and depreciating. At 7 price points (incl current rate), simulating your Cash flows and P&L to see where the firm stands in each scenario.