Whitewater Analytics is a leader in foreign currency exposure reporting for Corporate Treasuries.
We specialize in streamlining the pre-trade risk management process by collecting exposures at the source from subsidiaries around the globe and a delivering decision-support tools that allow treasury risk managers to make informed and effective hedging decisions.
Founded by Corporate Treasury risk managers, our solution uniquely incorporates treasury best practices with the latest technology and just the right amount of flexibility.
Are you a Corporate Treasury risk manager at a multinational with 10 or more subsidiaries and at least 10 transaction currencies?
Do you already use spreadsheets to collect forecasts from your subsidiaries? In as short as two weeks, you can replace your manual process, and enjoy these benefits:
Save time Reduce errors Make more effective hedging decisions
Or are you not centrally managing your foreign currency exposure? Learn how to start:
Put in place a Best Practice FX Management process quickly Quantify your sensitivity to currency fluctuations Make informed decision whether you will be hedging or not
Consider just one of your subsidiaries and calculate the currency impact on earnings: Calculate Now
