Middle and Back Office

Software systems that service the middle and back office treasury functions, including functionality in confirmations, settlement, documentation, accounting etc.

Company: Finastra
Master the transformation and accelerate innovation in treasury and capital markets. Simple, flexible and open solutions for better performance and risk management. Finastra’s treasury and capital markets solutions improve trading and treasury performance and processing, enhance monitoring and reporting, and make risk management more effective. Leveraging more than 30 years’ ...
Since 1993, Imagine Software has been a leading provider of investment management solutions for the global financial industry. Its award-winning enterprise product, the Imagine Trading System—and its on-demand cloud-based ASP version, Derivatives.com—is a real-time integrated trading, portfolio, and risk management solution employed by thousands of buy-side and ...
Gloss STP Bureau is a real-time STP system which automates the trade processing lifecycle from trade capture and enrichment through confirmation, clearing agency reporting and settlement. The Gloss STP Bureau provides fast-track access to market leading functionality in a complete serviced environment. From Broadridge's advanced data centres in the US and Europe the service offers comprehensive ...
Broadridge FX & Liquidity Solutions (FXL) has four main components: FXL - FX & FX DERIVATIVES - Componentized Front, Middle & Back Office Solutions FXL ORDER MANAGEMENT - Market & Limits Orders for FX & FX Options FXL CASH MANAGEMENT -  Global Liquidity views Across Asset Classes & Entities FXL RISK MANAGEMENT -  Global Limit Monitoring, Margin ...
FOR CASH & LIQUIDITY MANAGEMENT POSITION FORECASTING Real-time intra-day cash positions on actual and projected balances for internal and external cash accounts. Informed, effective and accurate funding decisions from real-time visibility of unsettled transactions. MATCHING ENGINE Provides cash flow matching (MT900/910) to project actual balances and bank statement ...
Our Global Processing Solution allows clients to process transactions in any instrument, any market, at any time. Its advanced real-time processes automate the transaction lifecycle for e-commerce and institutional STP operations, from order capture and execution, through confirmations, settlement and accounting.
Broadridge FXL's Cash Management provides real-time cash and liquidity management, enabling full control of intra-day position keeping and delivers a consolidated, global view of all currencies and accounts in one single solution. Highlights Monitor, track and process cash movements across individual lines of business Reduce risk by ensuring accurate and up-to-date views of balances ...
Investor Communication Solutions, Broadridge is the nations largest processor of shareholder communications to corporations, banks, brokerage firms and mutual funds. It automates the costly and time-consuming tasks of creating and distributing sales literature, account statements, trade confirmations, proxies, corporate notifications, prospectuses, and other critical documents.  ...
Electronic Imaging and Workflow product will help your firm become more productive and improve your operations by enabling you to focus on the most critical aspects of the new account information collection and review process. Broadridge has developed a complete end-to-end document processing, communications and fulfillment environment that allows you to reduce and, in many cases, even ...
Global Post Trade Management Broadridge brings tranformative operational advantages to global post trade processing and management from trade capture through clearance and settlement, reconciliation, asset servicing, books and records, and regulatory reporting. It streamlines and standardizes operations and infrastructure across asset classes, markets, currencies and business ...
Broadridge focuses on domestic fixed income trade processing. Repo Trading - This new front end enables repo traders to create financing deals, to access these deals for maintenance purposes, and to view available collateral at both an aggregate and detailed view. Using the latest JAVA technology, raw data is consolidated and presented in a single screen for a more intuitive trading ...
ETHIX-Core is the main part of ETHIX Financial Solution; it consists of sub- modules like ETHIX-GL, ETHIX-Client, ETHIX-Accounts. ETHIX-Core is an integrated client / server banking environment with a worldwide user-base of over150 customers – and growing. ETHIX-Core is also implemented and running live in 28 customer sites (of which 18 are Islamic banks) all over the Middle East, ...
ETHIX-Provision is a comprehensive end-to end solution that is rich in functionality; it is flexibly configured because of the high parameterization of all of its functionalities. The solution addresses automated provision calculation requirements to improve the decision-making process related to banks financial policies. GENERAL FEATURES Supports Central Bank Provisioning Rules ...
ETHIX-Trade Module manages trade-related instrument processing, connects your bank to the SWIFT and networks, and provides a link between your bank and its clients. ETHIX-Trade is a Windows-based trade nance software that automates all trade nance transactions to enable easy, fast and secure data input and output generation. Designed to endure the test of customer demands and bank ...
BRANCH OPERATIONS AND ETHIX-BRANCH Backed up by its long and extensive experience in the banking sector, ITS has developed the contemporary ETHIX-Branch. ETHIX-Branch is designed to meet the needs of the front and back office teller operations. ETHIX-Branch is an application suite for retail banking, primarily a data entry, retrieval, and presentation system that interfaces to a variety of ...
Company: Calypso
Calypso Capital Markets provides a comprehensive cross-asset front-to-back solution for trading, risk management, processing and accounting – all on a single platform. Calypso’s real-time multi-tiered open architecture delivers low-latency high-performance straight-through processing across all assets classes for both cleared and bilateral trades. Calypso’s Front Office XVA ...
Company: Calypso
Calypso is the global standard in OTC clearing for CCPs, exchanges, clearing members and end-users. 86% of CCPs who are live and clearing interest rate swaps use Calypso, including CME, Eurex, SGX, TSE, HKEx and ASX. Calypso OTC Clearing enables institutions to comply with Dodd-Frank and EMIR regulation and create a robust OTC clearing capability.   Calypso provides a comprehensive ...
Company: Calypso
Calypso Collateral & Funding enables institutions to unlock collateral and unleash liquidity. Improved visibility into positions combined with the ability to net exposures across business lines enables institutions to eliminate fragmented collateral pools, increase ROI on inventory and lower funding costs. Calypso has a single central inventory pool for all margining, funding, liquidity and ...
Company: INSIDE Secure
Inside Secure’s Mobile Payment solution enables YourPay – allowing Issuing banks (and others) to easily deploy their own “Pays”. This allows them to complement their existing assets and customer relationships with a powerful, convenient and secure Mobile Payment solution. Inside Secure’s Mobile Payment Server manages the eco-system on behalf of the service provider. ...
Company: Duco
Duco Cube radically lowers the cost and risk of reconciliation and data validation for financial services firms. We do this by empowering end users to set up complex controls from scratch, on an intuitive web-based platform, without expensive or lengthy technology projects. According to Aite group, the industry average time to set up a single reconciliation is 64.4 days, excluding data gathering. ...
London Stock Exchange Group has a number of services to help firms prepare for MiFIR trade and transaction reporting. Once MiFIR goes live, our suite of services will help firms not just comply with reporting but provide the tools to improve their business because of it.
UnaVista is the market leading MiFID transaction reporting ARM in Europe, processing over 1.5 billion transactions a year for over 700 clients across all asset classes. Our smart validation using internal and external reference data sources enables you to reduce your exceptions and the/our management information dashboards allow you to get to those exceptions quickly.
UnaVista’s new Swaps Portal provides an easier, more accurate way to manage CFDs. Whether you’re a hedge fund, executing broker, or prime broker, our system helps you keep track of all your CFD transactions electronically. It also makes sure you meet all your compliance obligations. UnaVista Swaps Portal allows you to: - Have one system for all participants in the CFD process - Use the ...
The UnaVista Confirmations Portal helps brokers, investment managers, prime brokers and others communicate and match post-trade data reliably and simply. UnaVista provides a global, fully audited service through which both large and small firms can exchange information. UnaVista works across asset classes, and can be used to communicate and match any data including confirmations, allocations, ...
Company: Murex
MX.3 for Collateral Management is designed to simplify this method by centralizing collateral across functions and business lines for bilateral or cleared OTC, repo or securities lending, and exchange-traded derivatives products. This includes the calculation of CCP margins and bilateral BCBS/IOSCO WGMR margin rules, as well as firms’ own risk methodologies. Our exception-based workflow ...
Company: Murex
MX.3 for Finance is designed to help institutions manage these changes and control accounting in an efficient, cost-effective and compliant way. Leveraging the cross-asset, modular functionality of the MX.3 platform, it helps simplify, automate and streamline your accounting processes. The MX.3 Accounting Ledger functionality covers full life-cycle management. This includes intraday accounting ...
Company: Murex
MX.3 for Operations provides a cross-asset framework for streamlining standard and bespoke business processes and helping solve the challenges of fragmented or obsolete legacy infrastructures. It is designed to meet the specific operational obstacles of FX, securities and derivatives operations. Full deployment of MX.3’s business workflows leads to the highest STP rates in the industry. ...