To create an exchange, go to Exchange Trades > Exchange.
To add an exchange, go to Add on top menu.
Add exchange code and Apply.
Add in the description, currency, etc. and then Apply to complete adding the exchange.
When finished, the edit review screen will appear. Select Exit to go back to the list of exchanges.
To add an exchange product, go to Exchange Trades > Exchange Product.
Select Add from the top menu, to add the exchange product.
Add in the exchange product, and then Apply to continue.
Complete adding the exchange product on this screen. Press Apply to continue.
When finished, the edit review screen will appear. Select Exit to go back to the list of exchanges.
Once the exchange product is added, you can go in to add the position and prices. Go to Exchange Trades > Positions on the Exchange.
Select Add from the top menu to add the future position.
Add the futures position and then select Apply.
Next add the price and then select Apply.
Once you have added the information, a review screen will show. Select Exit to return to the list of exchanges.
The Arrival Month to Futures Table, also called Valuation, will show you the shipment/arrival date and the futures date. When you look at a contract purchase item, you will see a shipment position and the valuation position.
To view or edit the futures table, go to Exchange Trades > Arrival Month to Futures Table.
The shipment/arrival dates and futures dates will show on this screen.
Select Tools, to delete old records or move ahead one year.
If you choose to move forward an exchange ahead one year, you will have to say Yes.
Select Exit to return to the futures table. Select Exit again to return to the main menu.