Award-winning technology solutions for investigating, correcting and integrating information crucial to efficient middle- and back-office processes, from reconciliation and exception management, to trade settlement and client fee billing.
Access to a complete universe of post-trade data through connectivity with thousands of feeds, aggregation and validation, delivering greater transparency, accuracy, efficiency and collaboration across the middle- and back-office.
Comprehensive managed services for reconciliation, data aggregation, and trade matching to align with firms’ unique workflows and processing needs, and free your high-value talent from resource-intensive, non-strategic tasks.
An intelligent, scalable solution that improves efficiency, accuracy and transparency across reconciliation, exception management and the entire post-trade process
A fully outsourced service that aggregates, normalizes and delivers accurate, reliable data on securities, cash positions, transactions and investigations from 1,300+ global sources
A flexible and scalable buy-side reconciliation processing service delivered by operations and data experts to ensure peak efficiency and control
Post-trade and wire processing solution for managing custodian trade and client notifications, confirmations, affirmations, and settlement instructions
An integrated, workflow-based client fee billing and revenue management solution that improves investment managers’ invoice and cash flow speed and accuracy while reducing risk