Clearly understand your FX risks and results

Accurately analyzing FX hedging results can be challenging for treasury teams. AtlasFX simplifies FX results analytics, clearly revealing key drivers behind balance sheet and cash flow hedging variances so your team can confidently manage risk.

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Insightful, transparent, actionable

Balance sheet hedging analytics

Quickly identify the specific reasons behind hedging variances—spot trading impacts, forecast deviations, forward points and remeasurement inconsistencies – with intuitive drill-down analytics.

Cash flow hedging analytics

Gain clear visibility into FX volume and rate drivers, directly connecting your cash flow hedging results back to budget and planning metrics.

Bridge between Treasury and FP&A

Additional FX analytics that provide greater insights throughout the company, including shock testing/scenario analysis, and constant currency analysis.

Clarity starts with better analytics