Business type: sell-side
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Credit Special Situation Trading Application
The Credit Special Situations Trading Application offers a centralized platform for managing credit-related data, letters of credit and more.
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Treasury Money Market Solution
The Treasury Money Market Solution enables treasury operations to manage and publish money-market rates across multiple currencies.
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Trade Allocation Manager solution
Rapidly build and deploy mission-critical infrastructure requiring high performance, resilience and scalability.
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FX Options Solution
The FX Options solution offers an advanced FX and derivatives trade blotter that integrates trade capture, analytics and risk calculations.
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Fund Finance Solution
The Fund Finance solution calculates and manages a bank’s risk exposure to underlying investors in borrowing-base facilities.
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Credit Insurance Application Solution
The data and workflow tool transforms how banks manage credit insurance, risk participation agreements and other forms of risk distribution.
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Real-Time Portfolio Margin Solution
The Real-Time Portfolio Margin Solution is a margin management platform that gives prime brokers a real-time view of margin and risk.
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Loan Dealer System Solution
The Loan Dealer System solution automates trading workflow and consolidates trade and risk data for dealers in the syndicated loan and CLO markets.
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Wealth Management Suite Solution
The Genesis Wealth Management Suite Solution is a multi-asset class trading and execution platform that optimizes the full trade lifecycle.
