WEBVTT

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You now have enough context to review a connection without rushing into

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a trade. This last page brings the pieces together. You can pause

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after each step and use an existing connection, an empty list, or

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the illustrated example. There is no requirement to add credentials or enter

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Live mode to complete the chapter.

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First, confirm the TraderLobby identity and the current Paper or Live label.

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Then identify the exchange account you intend to work with. Keep those

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names private. Say which part is the app sign-in, which part is

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the exchange, and which connection links them. If you cannot tell which

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account is being displayed, resolve that before interpreting its balance.

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Second, read the full provider name, connection label, and trading currency. Check

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that they match your intention and the options available to that account.

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Remember that a label does not create permissions, and selecting a quote

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currency does not convert funds. If the provider or currency is wrong,

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a valid-looking card is not enough reason to continue.

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Third, review connection status and freshness. Read the latest result, the available

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check or sync time, and any unresolved error. Separate a reported zero

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from Not reported. If information has not loaded or a refresh failed,

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describe that honestly. You do not have to turn an uncertain result

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into a confident answer just to finish the checklist.

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Fourth, read the cash and control labels in context. Know the difference

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between the exchange's reported cash, the configured budget or trading limit, and

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reserve. Check saved values rather than relying on an unfinished edit. Leave

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the budget unchanged for this exercise, and do not treat an available-looking

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number as a promise that an order will be accepted.

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Fifth, inspect the access evidence. Know what reading and trading permissions allow,

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and keep withdrawal access outside this setup. Where the desktop order-permission check

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is available, understand its provider-specific result and limitations. A successful connection check

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on mobile does not replace that separate evidence. You should be able

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to explain the check without placing a real test trade.

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Sixth, identify the default connection and remember what a change would affect.

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If there are multiple accounts, keep their balances separate. Review any ongoing

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trading activity through its own controls; neither switching connections nor removing one

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proves that activity stopped. Know where you would look to confirm a

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real trading outcome.

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Finally, consider account security and recovery. Keep credentials private, maintain the sign-in

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protections from the previous chapter, and know where the exchange lets you

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manage its API access. If something needs attention, write a private next

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step such as reviewing permissions or checking a failed refresh. The note

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should describe the task, not contain the secret.

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Now make an informed stopping decision. You may be ready to inspect

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the next workflow, or you may choose to stay in Paper while

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resolving a question. Both are useful outcomes. This checklist is not automatic

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permission to trade and does not replace the app's remaining Live requirements.

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It gives you a clearer understanding of the connection you would be

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relying on.

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Next, we will practice with Paper and Live in this app specifically.

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You will learn what changes when the mode changes, what stays separate,

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and how to finish a rehearsal at a clear stopping point. Bring

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the habit you have built here: identify the account, understand the access,

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take only the intended action, and read the result.
