Solution introduction

Streamlined and responsive asset servicing

With growing investor appetites for sustainable finance and alternative investments, the investment fund industry is being pushed to streamline its processes and increase innovation within ever-decreasing timescales. OLYMPIC Banking System provides the flexibility, scalability and connectivity to enable institutions to streamline servicing processes for greater customer satisfaction while minimising operating costs.

OLYMPIC Banking System delivers an integrated solution to fund administrators that best fits and responds to their clients’ needs across the entire investment management lifecycle including: online consultation of real-time positions, synchronised view and data source, a wide range of fund vehicles, automated NAV calculation, investment constraints, transfer agency and fees and commissions calculations.

Regulatory compliance
Automatically embed KYC and AML ratios as well as investment and regulatory constraints into workflows, making sure the activities performed are fully compliant with all major regulations.

Our extensively parameter-driven solution allows institutions to respond quickly to new business opportunities, bringing new products to market within the challenging time frames demanded by new and existing customers.

Single source of truth
Fully integrated, synchronous custody and fund accounting lowers operational costs and reduces the risk of error – no need for reconciliation.

Eliminate complexity with a scalable and integrated solution that offers streamlined processing for increased operational efficiency. Empower staff with online access to fund and portfolio information, raising workforce productivity.

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