Settlement conditions are explicitly agreed in the OTC proposal before signing: physical delivery of asset, conversion to fiat in corporate account, netting with other open positions or a combination per contract. If your treasury works in USDC or EURC, at maturity you can settle in the same stablecoin, convert to euros at the agreed rate or cross the balance with parallel hedging operations managed by the desk. Bit2Me documents each movement with date, counterparty, applied price and operation reference for export from Business Account. The process respects fund segregation and CNMV supervision under MiCA, unlike offshore brokers without tax traceability. Before maturity, your advisor can review roll-over, early close or adjustment if your real exposure changes versus the original contract.