Sales / Trading Regulatory Legal Post-Trade


Automation for cash and OTC derivatives

Automate back office operations including; confirmation, affirmation and payment messaging, settlement netting & processing, matching and exception management. The software offers full reporting of KPIs and uses AI for document data extraction.

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The Challenges

Fragmented technology landscapes are hampering the operational efficiency and adaptability needed to remain competitive.

Financial institutions are looking for agility to reduce the time-to-market for product or market expansions. At the same time, more flexibility and standardization are required to solve the operational efficiency challenge.

  • Fragmented IT
  • Legacy Technology
  • Silos
  • Lack of Standards
  • Reconciliation Breaks
  • Poor STP Rate
  • Time-To-Market
  • Cost Reduction
  • Operational Risk

Find more details on how our Post-Trade works

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Our solution

Our state of the art solution enables rapid integration and standardization through out-of—the-box adapters, workflows and transformations. Further enrichments and validations improve the quality required for straight-through-processing. The Post-Trade runs real-time back-office processes as shared service for all asset classes. The user can monitor processing and quickly respond to exceptions for the trade life-cycle events.


Configurable validations and adjustable best practice workflows for all trade life cycle events


No / Low Code Configuration of interfaces and transformation into standardized ML data


Best practice formats for supported asset classes and end-user driven document and message definitions


Support for shared back-office processes and maintenance of a fit-for-purpose static data repository


Set of configurable reports and real-time dashboards for periodic reporting and exception monitoring


What we do differently

Post-Trade is designed to enable rapid integration within a complex IT landscape

Adapters configured by business teams, supporting multiple validation levels for full control on incoming data

The static data repository can be extended on the fly as needed for maximized STP rates

Scalable processing of high volume confirmations and settlements across asset classes

Proven, best-in-class solution for management and generation of documents and messages

Real-time monitoring and optimal control for efficient exception management


Quicker time-to-market

Higher operational efficiency

Rationalization of the technology landscape

Lower operational risks

Improved client satisfaction & retention

How to bring automation and increased efficiency to Post Trade processing? Check all the facts in our recent Whitepaper:

The Promise of Advanced Technology and the Cloud for Back Office Post-Trade Operations

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Download our brochure for all the details about our solution

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We will get in touch to present you our solution and answer all you questions