NDF contract settlement rate

We are using an NDF contract (non-deliverable forward contract) is almost as a normal forward contract, with the exception that on maturity no delivery of the contracted currency is made. Instead the net market value of the contract is paid/received between the parties. The market value to be paid on maturity is decided by a specific settlement rate, agreed upon for the particular contract.
In SAP however the market value and the realized amounts for NDF contracts are calculated using the c-rate and the m-rate. This gives a market value that deviates from the true market value.
Is there any way, wherein SAP must be able to calculate the market value and reliazed value of specific NDF contracts correctly.
If anyone implemented the Z transaction, kindly let us know the changes.

Hi,
I am having a clarification.  When you enter into a 3 month forward contract today, How can you post the gain/loss today.  Also the gain/loss has to be posted using TPM18 in case of physical delivery. 
After 3 months on the settlement date, you post the transactions in case of a normal forward.  But in case of NDF, after 3 months on the settlement date, you click on cash settlement available in the transaction itself.  Now you will get an option to input the rate on the settlement date.  There you can input the contract settlement rate and it will post the difference gain/loss on that day.
Regards,
Ravi

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