Pre-trade margin optimisation.
Post-trade optimisation recommendations.
Understand the drivers of margin.
Project future margin calls.
Attribute margin to desks and strategies.
Independently check margin calls.
Shock margin requirements under different scenarios.
Streamline collateral management.
Meet regulatory requirements.
Reduce Working Capital.
Reduce encumbered assets, increase returns.
Reduce the financing cost of derivatives margin.
Learn more about the company creating the new cash and collateral management standard.
Speak to our team today. We're here to help and answer your questions.