
Hedgebook Blog
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View the Hedgebook blog archives. Everything you need to know about FX risk, hedging, treasury management and much more here. Hedgebook was formed in 2011 with a mission to help businesses of all sizes make sense of treasury risk, devise profit-protecting strategies and collaborate more efficiently with their bank and broker via our market-leading SaaS platform.
Hedgebook Blog
3M ago
While we have been happily operating under hedgebookpro.com when the opportunity came to shift to hedgebook.com we took it!
The post Let’s celebrate Hedgebook.com: new domain appeared first on Hedgebook ..read more
Hedgebook Blog
3M ago
The Hedgebook User Survey is used to inform our product development and help answer some of the questions prospects may have about the value users find in Hedgebook - be they corporates, bankers, auditiors, brokers or advisors
The post Hedgebook Annual User Survey 2024 Findings appeared first on Hedgebook ..read more
Hedgebook Blog
3M ago
An article in South African Treasurer Magazine provided interesting insight into FX Hedging in the age of big data and AI. Hedgebook fits into this world, helping create a data-drive environment for FX Sales Teams
The post Looking beyond AI: FX Sales Teams tech for success appeared first on Hedgebook ..read more
Hedgebook Blog
3M ago
We have extended Hedgebook's bulk upload functionality to include interest rate swaps - mostly in response to our auditor community. Uploading the swaps in bulk, reduces errors and saves time. Who doesn't want that?
The post How Hedgebook can Bulk Upload Interest Rate Swaps appeared first on Hedgebook ..read more
Hedgebook Blog
3M ago
The focus of this blog post (which we updated in 2024) is IFRS 7 disclosure requirements and specifically the quantitative disclosures in assessing the risks faced by an entity in regards to its financial instruments.
The post IFRS 7 – Disclosure Requirements of Financial Instruments appeared first on Hedgebook ..read more
Hedgebook Blog
3M ago
Understanding and managing foreign exchange risk often goes in the “too hard” basket. Which is why we have put together this easy-to-read guide to help you achieve more effective FX Risk Management.
The post Effective Foreign Exchange (FX) Risk Management appeared first on Hedgebook ..read more
Hedgebook Blog
3M ago
We examine IFRS 13 as it relates to the Credit Value Adjustment (CVA) of a financial instrument including fair value measurement - reflecting greater focus on the impact of counterparty credit risk post GFC.
The post IFRS 13: Fair value measurement – Credit Value Adjustment appeared first on Hedgebook ..read more
Hedgebook Blog
3M ago
Credit Value Adjustment or CVA has been around for a long time. However, the introduction of the accounting standard IFRS13 in 2013, drove a requirement to understand it a bit better. This is a quick overview of what you need to know.
The post Credit Value Adjustment appeared first on Hedgebook ..read more
Hedgebook Blog
3M ago
We take a look at one of the key questions auditors ask: “why is there a difference between the bank valuation and the Hedgebook valuation (or any other system’s for that matter)?” We explore a selection of reasons that can lead to differences.
The post Lies, damned lies and valuations appeared first on Hedgebook ..read more
Hedgebook Blog
3M ago
As responsible FX managers we need to meet market uncertainty with probability; delivering the best, most accurate information we can, so the right decisions can be made. On any day.
The post Why FX Valuations are Wasted at Year End appeared first on Hedgebook ..read more