Kedco FX — Knowledge Base
Welcome to the internal wiki for Kedco Foreign Exchange. This is a living document that maps how the system works — from business rules to tech stack to daily operations.
Navigate
- Features — What the system does
- Business Rules — How forex logic works
- Roles — Who uses the system and how
- Branches — Branch locations and codes
- Tech Stack — How it’s built
- Data — Reports, positions, summaries
- Compliance — BSP reporting & examiner access
- Operations — Heals, data integrity, seeding history
- Lending — CoolEd, the separate lending product
Quick Links
| Area | Notes |
|---|---|
| THAN Calculation | Core profit calculation |
| Carry-In Logic | Opening position rules |
| EOD Reports | End-of-day reporting |
| Shift Management | Shift open/close flow |
| Daily Positions | Currency position tracking |
| Branch List | All 9 branches |
About Kedco FX
Kedco FX is a multi-branch foreign exchange management system built for real-time currency trading operations. It handles cashier transactions, rider pickups, branch dashboards, and end-of-day reconciliation across 9 branches.