I am looking for some advice/indicator, strategy for the pair USD/MXN.
We are a company located in Mexico and in the beginning of each week we need to buy USD by selling MXN.
If we feel that price is high and will drop soon, we can postpone the buying until Wednesday.
The amount of USD that we need is huge so each small change in price after we bought, have strong impact on our profit or losses because we work on a small edge.
Please help me to find some useful strategy. We are willing also to pay for consultation and/or tool.