遠匯避險的分錄問題 - 會計
By Regina
at 2011-12-30T00:58
at 2011-12-30T00:58
Table of Contents
公司出口 有美元的應收款 擔心美元貶值
預售美元遠匯避險 (forward)
到期settle時避險的損益跟underlying的損益合併成一個分錄如下
借方 cash at bank-saving account 943,652.53
forward exchange contract payable 946,257.72
貸方 A/R overseas 935,236.93
gain on exchange 8,415.6
forward exchange contract receivable 946,257.72
根據以上資訊 是不是到期時的spot rate已經不重要?
為何forward exchange contract payable(receivable)金額相同?
有大大能詳細說明遠匯避險開始及到期時的會計處理方式嗎?
非常謝謝!
--
預售美元遠匯避險 (forward)
到期settle時避險的損益跟underlying的損益合併成一個分錄如下
借方 cash at bank-saving account 943,652.53
forward exchange contract payable 946,257.72
貸方 A/R overseas 935,236.93
gain on exchange 8,415.6
forward exchange contract receivable 946,257.72
根據以上資訊 是不是到期時的spot rate已經不重要?
為何forward exchange contract payable(receivable)金額相同?
有大大能詳細說明遠匯避險開始及到期時的會計處理方式嗎?
非常謝謝!
--
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