- Pioneering, tailored approach
- Efficiencies in cash and collateral use
- Refines decision-making
As demand grows for more efficient cash and collateral usage, fund managers are seeking innovative ways to enhance their operational efficiency and use their resources effectively. By gaining visibility across your diverse prime brokerage accounts, you can leverage this comprehensive view to make informed decisions on refining positions and cash.
Our ability to deliver a robust range of treasury and collateral management services and data around this core aspect of your business helps expedite and refine your decision-making ability and ultimately lead to an enhanced focus on these middle office functions.
Services include
- Cash availability reporting
- Real time views on cash, liquidity ladders, or shortfall management
- Funding requirements
- Behavioural and stress tests
- Hedge requirements
- Independent variation margin calculation
- Dispute management
- SWIFT and wire payments