To execute an OTC trade follow the steps below:

  1. On the dashboard, click “OTC” in the the top menu, this will take you to the trade screen
  2. In the product section, select whether you’re executing a Buy or a Sell and the currency pair
  3. Next, in the account drop down select the account you’d like to use for the trade
  4. Next input the counterparty account ID as well as the quantity and price
  5. Finally select the settlement date from the settlement date drop down
  6. Click the “Buy” or “Sell” button to complete the trade
  7. A record of your trade will be emailed to you and display in your transaction history
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