NOTE: Before starting, please contact support and we will activate this integration option for you.
STEP 1:
Navigate to Navigate to Settings > Common data > SSI

STEP 2:
Press plus icon to add new SSI.
Entity column —> For each entity under whose name trades have been made, SSI (Standard Settlement Instructions) must be created. That means: if a trade is made in a certain currency, to which account should it be directed. Click ''Save'' to save the information.

STEP 2:
Navigate to Settings > Admin settings > Integrations > E-dealing platforms > Nordea Trade Retriever
Click on "Manage" next to the Nordea logo. Fill in the required fields and click "Save daily import" to store the FX trades credentials.
- Key: Enter your Nordea FX trades key.
- Secret: Enter your Nordea FX trades secret.
- Nordea environment: Select "production".
- Counterparty: select counterparty from the dropdown.
- Import time: Choose the UTC hour for daily imports.

Was this article helpful?
That’s Great!
Thank you for your feedback
Sorry! We couldn't be helpful
Thank you for your feedback
Feedback sent
We appreciate your effort and will try to fix the article