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Test your basic knowledge |
Foreign Exchange Essentials
Start Test
Study First
Subjects
:
business-skills
,
industries
Instructions:
Answer 50 questions in 15 minutes.
If you are not ready to take this test, you can
study here
.
Match each statement with the correct term.
Don't refresh. All questions and answers are randomly picked and ordered every time you load a test.
This is a study tool. The 3 wrong answers for each question are randomly chosen from answers to other questions. So, you might find at times the answers obvious, but you will see it re-enforces your understanding as you take the test each time.
1. What is the ticker symbol for Brazilian Real?
APL rate
BRL
The average P&L rate (APL) which is the weighted average of Treasury Daily Spot rates for the month
Used to hedge against variability in expected future cash flows
2. A ____________________ is an exchange of two currencies at a fixed rate for any date other than spot delivery
Mitigates risks by using hedging techniques
12%
APL rate
foreign exchange forward contract
3. The ______________ for a currency normally uses the first two digits to identify the country - and the last digit to identify the currency
an estimate of aggregate rate
APL rate
B/S rate
three digit ticker symbol ex: USD - United States Dollar
4. In a USD-JPY relationship - when the line in a graph is upward slope it means the yen is weakening and dollar is strenghtening because exchange rate...
is getting bigger
SFAS 52
F&O account 87503
Treasury Daily Spot Rate
5. What currencies use Direct method of quoting?
3 business days and beyond
British Pound - Australian Dollar - New Zealand Dollar - Euro
two business days
downward slope
6. EUR-USD currency pair accounts for about ____ of all FX volume
direct
Indirect quote
The average P&L rate (APL) which is the weighted average of Treasury Daily Spot rates for the month
30%
7. What is Functional Currency?
The currency of the primary economic environment in which the legal entity operates
foreign exchange forward contract
Pound strengthens
spot price x interest differential
8. What are the four major FX accounting guidances?
SFAS 52 - FX Translation - SFAS 133 - Accounting for Derivative Instruments & Hedging - SFAS 157 - Fair Value Measurement - SFAS 161 - Disclosures about Derivative Instruments & Hedging
Oracle
financial strategy and financial policy
Effective Hedge rate
9. In a GBP-USD relationship - when the line in a graph is upward slope it means the __________ overtime because the exchange rate is getting bigger
largest - It is open 24 hours a day - except weekends
foreign currency* rate
Pound strengthens
12%
10. The timing of when we execute hedges drastically impacts the ____________ we achieve
5%
actual weighted average contract rate
average rate
largest - It is open 24 hours a day - except weekends
11. In a stock-USD relationship - when arrow is going up means that stock is becoming more ______ against dollar
Pound strengthens
China - Malaysia - Colombia - Chile - Argentina
valuable
Treasury Daily Spot Rate
12. USD-JPY account for ____ of trading FX volume
Accounts that are carried at historical rates at which they were booked (fixed assets - inventory)
SFAS 52 - FX Translation - SFAS 133 - Accounting for Derivative Instruments & Hedging - SFAS 157 - Fair Value Measurement - SFAS 161 - Disclosures about Derivative Instruments & Hedging
Buy a stock in an Oil Company. Stock price increases when oil goes up and offset for your expenses in filling up tank
13%
13. Treasury is responsible for managing companies funds and determining the firms'...
Process to revalue the monetary BS accounts from: entered rate to B/S rate - prior month's B/S rate to current month's BS rates
more
Currency of the respective operating unit's country
financial strategy and financial policy
14. Forward points multiply the exchange rate by the...
SFAS 52 - FX Translation - SFAS 133 - Accounting for Derivative Instruments & Hedging - SFAS 157 - Fair Value Measurement - SFAS 161 - Disclosures about Derivative Instruments & Hedging
Government regulation and cost of hedging
1 Case = 2 pizzas
interest rate differential
15. If 1 Share = 10 USD and 1 CASE = 30 USD - then 1 share =?
average rate
allow FX rate
1 share = 1/3 case
APL rate
16. A downward slope that represents AUD-USD relationship means that if you bought Australian dollars at point A - you have _____ money at point B
translation
lost
300 billion
valuable
17. How many currencies use Direct method of quoting?
F&O account 87503
13%
This means 1 Euro measured against US Dollars is worth $1.40
There are FOUR
18. ____________ should be denominated in the currency they will either be paid or received in...
liquidity and cash
fx forward
BS account balances
End of Period Rate (SCO-4 rate)
19. Hedging instrument used in cash flow program is...
currency options and forward
Forward contracts and Options
China - Malaysia - Colombia - Chile - Argentina
Forward Points
20. The ticker symbol for the Chinese Yuan
CNY
1 Case = 2 pizzas
Spot price
P&L activity
21. Revaluation can be hedged - while ___________ cannot be hedged
Spot price
Oracle
translation
3 business days and beyond
22. What rate is used on the balance sheet?
BRL
End of Period Rate (SCO-4 rate)
foreign exchange forward contract
strengthens
23. If 1 pizza = 15 USD then ____ = 1/15 pizza
6 weeks prior to Q/E
1USD
China - Malaysia - Colombia - Chile - Argentina
Pound strengthens
24. Whether the quote was indirect or direct - they are all stored as ______ in Oracle
direct
What is happening
currency options and forward
Hedging protects the value of a future event by executing a trade that changes value in the opposite direction as the future event.
25. The offset of revaluation is recorded to...
F&O account 87503
more
interest rate differential
Forward contracts and Options
26. In a stock-USD relationship - when arrow is going down means that stock is becoming ____ valuable against dollar
less
adverse fluctuations
12%
30%
27. Treasury ensures that companies have ____________ to meet its obligations
liquidity and cash
SFAS 52
This means 1 Euro measured against US Dollars is worth $1.40
lost
28. Hedge Rate is _______________ that will be achieved on a specific quarter's cash flow
Indirect quote
an estimate of aggregate rate
actual weighted average contract rate
BRL
29. In a downward slope that represents USD-JPY relationship a _____________ means that if you bough Japanese Yen at point A you made money at point B
fx forward
downward slope
functional currency
less
30. What are non-monetary accounts?
90%
12%
13%
Accounts that are carried at historical rates at which they were booked (fixed assets - inventory)
31. Functional currency of an entity is determined by Treasury Accounting based on ______ requirements
The difference between hedge rate and final effective hedge rate
foreign currency* rate
What is happening
SFAS 52
32. What is reporting currency?
spot price x interest differential
300 billion
Accounts that revalue every month to the balance sheet rate. (cash - A/are)
Currency in which the entity reports results externally
33. ____________ - foreign currency/rate = USD
What is happening
Indirect quote
downward slope
liquidity and cash
34. ____________ booked a hedge rate is trued up to the EHR each month during the quarter
P&L activity
Process to convert an entity's BS & P&L from the functional currency to the reporting currency - BS is translated at BS rate - P&L is translated at APL rate
average rate
liquidity and cash
35. How do you read EUR-USD = 1.40
End of Period Rate (SCO-4 rate)
This means 1 Euro measured against US Dollars is worth $1.40
APL rate
fx forward
36. What is cash flow used for?
three digit ticker symbol ex: USD - United States Dollar
6 weeks prior to Q/E
Used to hedge against variability in expected future cash flows
financial strategy and financial policy
37. We do not speculate on Foreign Exchange - 10-K says it is to reduce the impact of...
The calculation is the same - but instead of adding forward points you subtract
value
adverse fluctuations
The average P&L rate (APL) which is the weighted average of Treasury Daily Spot rates for the month
38. If you are an European planning a trip to America - which rate do you want? 1.40 or 1.60?
1.60 - Because you can buy more dollars
more
fx forward
1 unit
39. GBP-USD account for ____ of trading FX volume
12%
translation
Mitigates risks by using hedging techniques
Treasury Daily Spot Rate
40. If the Mexico rate is 5.25%/year and the US is 0.25%/year - What is the rate that would be used to calculate the forward rate?
Spot price
5%
China - Malaysia - Colombia - Chile - Argentina
21%
41. How far in advance do we hedge?
30%
Currency of the respective operating unit's country
less
15 months in advance - layering on hedges through time
42. In a EUR-USD relationship - when arrow is going down - means Euro weakens and US Dollar...
exchange rate
strengthens
1.40 - Because I would be able to buy more euros
12%
43. What is the purpose of hedging?
The currency of the primary economic environment in which the legal entity operates
Hedging allows us to provide stable earnings - makes planning simpler - and allows for longer lead time for marketing
more
interest rate differential
44. B/S rate is used for revaluation of foreign currency transaction to...
strengthens
6 weeks prior to Q/E
financial strategy and financial policy
functional currency
45. __________ is used for translation of foreign currency B/S to reporting currency
lost
foreign exchange forward contract
B/S rate
British Pound - Australian Dollar - New Zealand Dollar - Euro
46. Hedging instrument used in Fair Value Hedge program is...
The calculation is the same - but instead of adding forward points you subtract
strengthens
fx forward
15 months in advance - layering on hedges through time
47. In general EUR-USD is involved in roughly ___ of all FX volume
Pound strengthens
Used to hedge against variability in expected future cash flows
foreign exchange forward contract
90%
48. Australian currency code is...
There are FOUR
AUD
6 weeks prior to Q/E
largest - It is open 24 hours a day - except weekends
49. A forward happens in...
fx forward
adverse fluctuations
Currency in which the entity reports results externally
3 business days and beyond
50. When is hedge rate published?
spot price x interest differential
financial strength
6 weeks prior to Q/E
foreign exchange forward contract