Trade and Transaction Reporting
Control and transparency for reporting to repositories in all regions, from multiple internal systems and across asset classes
- Rules-based, built-for-purpose strategic platform
- Robust and proven for Dodd-Frank, EMIR, MiFID and other jurisdictions
- Single solution for all asset classes and reporting destinations
- Flexible dashboards to handle operational workflow
- Efficient customer and trade identification handling
- Fast-track addition of new mandates and jurisdictions, eg. MiFID II, SFTR
Harmonised Inbound Clearing Reports
Efficient handling of balance and transactional data from central counterparties, exchanges and clearing brokers
- Unified view of all inbound reporting, regardless of incoming formats
- Automates capture of collateral and margining information
- Enables consistent view of CCP group credit risk globally
- Supports reports from clearing houses, exchanges and clearing brokers
- Saves time and cost and reduces operational risk
- Common solution across asset classes, feeding multiple internal consumers
Clearing and Affirmation Connectivity
Strategic network of connections with central counterparties, brokers and industry middleware
- Proven connectivity to CCPs globally
- Platform links including MarkitWire, ICE Link, VCON, Traiana and Omgeo
- Common solution across OTC asset classes, and for multiple internal systems
- Support for complex matching and verification
- Efficient control via detailed exception views and management dashboards
Collateral Messaging
Support for collateral management and optimisation through efficient messaging
- Collateral-related position verification
- Connects internal systems impacting collateral to external parties
- Conforms with custodians' and service providers' formats
- Single solution for all asset classes
- Flexible and efficient two-way intelligent messaging
Internal Trade Monitoring
Monitors and highlights trades with breaks, across functions throughout the trade life cycle
- Post-trade control dashboards for a consistent user view
- Real-time monitoring
- Fast-track analysis, repair and resubmission
- Support for complex verification and matching
- Valuable performance indicators and management information
Matching and Reconciliation
Matching and reconciliation including specialisation on complex structured instruments
- Real-time support for all asset classes, including OTC derivatives
- Advanced algorithm matches on complete economic trade details
- Can be used to complement existing "field by field" matching solutions
- Removes taxonomy issues from matching process
- Includes post-report verification for Dodd-Frank, EMIR, MiFID, and others