Don’t Just Manage Your Currency Risk. Master It
Hedgemaster allows financial directors to manage their currency risk in one place, using data driven analysis and continual monitoring to ensure nothing is left to chance.Request Your Free Demo Today
What is Hedgemaster?
Hedgemaster is a tool for managing and monitoring your currency risk. It makes sure your hedging decisions are driven by your data. Not sentiment.
How Does Hedgemaster Work?
Your Hedgemaster account requests unique information about your business which is then used to estimate your cash flow exposure, using the analytics engine.
HedgeMaster then uses your data to provide a tailored summary of all your exposures and allows you to set your risk management policy and tailor it with simple levers based on your particular business needs and dynamics – like growth rate, profitability and your risk appetite.
HedgeMaster continually assesses your currency risk, providing notifications when it’s time to take action to implement your strategy as well as providing reporting for sharing your hedging strategy with other leaders in the business.
Any hedging requirements identified by HedgeMaster can then be executed with your dedicated Currency Risk Expert at Central FX.
Master Your Currency Risk Using Data. Not Sentiment.
Join the hundreds of financial directors who already rely on HedgeMaster to automate the monitoring and management of their currency risk.
Don’t just manage your currency risk. Master it.
The guidance we received from Central FX has always been accurate, on our last deal with the rate being so high we bought a forward contract, resulting in a £12,000 saving compared to the rate we would have got once the contract matured.
Are You Currency Safe?
About Central FX
At Central FX, we have developed a proactive approach to help our clients manage all their foreign exchange requirements. By combining People and Platform, we can offer you a service led proposition that helps you to manage the goals and aspirations of your international trade.Read More
How Companies Mitigate the Risks of Foreign Currency.
Let’s assume (like hundreds of thousands of UK businesses) that you are purchasing goods from abroad. You negotiate a contract with a Chinese factory to supply your product throughout the…
December in the Markets.
Bank of England Reports Published in December 2019 PPA Regulatory Digest – Read the report The PRA Regulatory Digest is for people working in the UK financial services industry and…