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There are certain settings that have to be configured in BFS, to be able to conduct a currency exchange. 

Global settings on the Execution Interface (EI)

To access the different execution interfaces navigate to System Data > Execution Interfaces. 
 



The EI are already set up according to how the backoffice wants them, but can be changed for example if we want to change an associated account.


Select Edit in the action menu of the EI. 

The settings view will show up with the following properties;

Type: Currency Exchange or Trade

Workflow Buy: Workflow for the currency order.

Workflow Sell: Workflow for the currency order.

The rounding account represents an account owned by the house and where any rounding differences gets booked.

Click Confirm if any changes are made or click Cancel



Currency management

The currencies that are used in BFS has to have execution interface settings.


This is often preset, but it is good to know if there is a need to change execution inteface for a currency. 


Click Edit in the action menu.

Choose another execution interface in the dropdown menu and click Confirm. 



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