Solution introduction

Consolidate and automate your front-to-back treasury processes and better manage liquidity, interest-rate and FX risks

Delivering liquidity and funding remains the treasury function’s primary focus. But its role has expanded and become more complex driving the need for a consolidated approach enabling you to:

  • Focus on business/clients, rather than manual processes
  • Enable complex pricing and operations for derivatives hedging
  • Consolidate your view of activities across trading, banking, and investment books
  • Reduce time/effort on regulatory compliance/reporting
  • Monitor cash positions, P&L, funding, and liquidity reporting in real-time
  • Support your move into pricing higher margin structured products
  • Access the most up-to-date pricing and risk management analytics
  • Deploy a consolidated platform solution on premises, in the cloud, or hybrid

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