About Electra

Making Buy-Side Operations Simpler, Efficient & Transparent

Electra Information Systems (“Electra”) provides award-winning solutions for the global buy-side investment management industry, specifically post-trade operations workflow solutions and managed services for reconciliation, data aggregation, trade matching, settlement and fee billing.

Our mission is to help investment managers, hedge funds, fund administrators and outsourced service providers reduce and manage risk, improve operational efficiencies and revenue management, and enhance counterparty and investor experiences. We achieve this by delivering powerful post-trade solutions and complete, timely aggregated data that support and improve reconciliation and various middle- and back-office processes across the firm’s operational ecosystem.

Since our inception in 1992, Electra continues to be guided by the single, client-driven principle that streamlined, intelligent post-trade processing is critical to long-term success.


Our Focus

Completely devoted to the specific needs of the buy side, Electra is driven by the principle that efficient and error-free middle- and back-office processing is critical to the success of investment management firms and their counterparties. Our software solutions, data and managed services empower firm owners, executives and their operations teams to streamline and accurately reconcile, match and settle trades, access more data, and manage client service, billing and revenue.

Using our patented intelligent integration, machine learning and proprietary algorithms, global institutional investment managers, hedge funds, fund administrators and outsourced service providers can successfully mitigate the cost, complexity and risk of errors and delays – as well as significantly increase staff productivity by fostering greater collaboration, communication and transparency between departments. 

Our Mission

  1. Empower asset management firms to strengthen their focus on strategic initiatives, competitive differentiators and exceptional client experiences across their post-trade operations.
  2. Mitigate the risk, complexity, cost and unproductive tasks from asset managers’ reconciliation, exception and trade management, settlement, and client fee billing processes.
  3. Help firms quickly and consistently overcome the competitive, regulatory and fiscal challenges of reconciling, matching and settling trades, and managing post-trade data.




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