Fund Finance
The Fund Finance solution calculates and manages a bank’s risk exposure to underlying investors in borrowing-base facilities.
Demo highlights
Unified Portfolio
Centralize global fund finance data – replace spreadsheets with a single platform that manages all Borrowing Bases, Investor exposures, and portfolio metrics in real time.
Gain full visibility and control across all facilities and investors.
Intelligent Uploads
Easily ingest Borrowing Base files with smart matching and validation. The system learns aliases, streamlines template parsing, and reduces manual intervention at scale.
Automate data uploads while improving accuracy and consistency.
Real-Time Insights
Interactive dashboards and analytics provide on-demand insights by investor, region, or facility – helping teams identify risk, spot trends, and make faster decisions.
Visualize exposures and performance from multiple perspectives.