Real-Time Portfolio Margin

Overview

The Genesis Real-Time Portfolio Margin (RTPM) solution is a multi-asset margin management platform that gives prime brokers a real-time view of margin and portfolio risk. 

It connects with trading systems, market data sources and portfolio accounting systems like SS&C Advent Geneva, to give prime brokers a holistic view of client exposures and tools with which to monitor and manage margin utilization.   

By replacing slow and disconnected processes, RTPM enables up-to-the-minute risk calculations across asset classes – helping prime brokers to make better-informed decisions about margin and provide better service to clients through proactive communication and sharing live portfolio-driven data. 

Industry Challenges

  • Disparate Risk Data Sources: Margin and risk related data are spread across multiple systems – OMS platforms, market feeds, and internal tools – making it difficult to see a complete, real-time picture. 
  • Manual, Delayed Margin Processes: Many firms use batch processing and end-of-day reports, limiting their ability to manage risk in real time. 
  • Lack of Real-Time Visibility: Legacy systems don’t update margin continuously, increasing exposure to intraday risk. 
  • Fragmented Technology Stack: Separate tools across teams lead to duplicated data, inconsistent insights, and operational inefficiencies. 
  • Limited Client Transparency: Delays in margin management reporting make it hard to provide clients with timely, detailed updates, affecting trust. 
  • Scalability and Adaptability Constraints: Older systems are difficult to customize or expand to support new products, rules, or client demands. 

User Benefits 

  • Real-Time Margin Insights: Provides up-to-date views of margin usage, excesses, and shortfalls across clients and accounts to allow users to react to market events in real-time.  
  • Unified Margin Management Platform: The solution combines start-of-day data with real-time market data, along with incoming trades from an OMS. As market prices fluctuate or new trades are executed, Genesis performs complex real-time calculations to determine updated client exposures and margin requirements. At a portfolio level, users can see open positions, multi-currency cash balances, margin utilization, along with overall excess or deficit calculations. 
  • Automated Intraday Calculations: Users can monitor all active and past alerts, take ownership of margin call events, and manage resolutions – whether by contacting the client, posting additional funds, or liquidating positions.  
  • Streamlined Margin Call Management: Offers a workflow to track, assign, and resolve margin calls, improving responsiveness and reducing missed actions. 
  • Custom Dashboards & Alerts: Role-based views and configurable thresholds help teams focus on the most relevant data, when they need it. 
  • Operational Efficiency: Automates capture of transactions, adjustments, and broker statement reconciliations to reduce errors and free teams for higher-value tasks. 
  • Flexible Risk Controls: Supports intraday overrides, margin haircuts, and reconciliation with broker statements for better control and audit readiness. 
  • Scalable for Complex Environments: Supports multiple prime broker models and asset classes, adapting easily to growth and regulatory changes. 
  • Built-In Compliance & Audit Trails: Records all user actions and workflows for full traceability, supporting policies and audits. 

Features & Capabilities

  • Start-of-Day Margin Load: Imports positions, cash balances, and account structures from core systems like SS&C Geneva to provide a reliable starting point for margin calculations.  
  • Real-Time Trade & Market Data Integration: Captures intraday trades from OMS platforms and live market data for continuously updated exposures. 
  • Live Margin Calculations: Performs real-time, multi-asset margin calculations at portfolio and sub-account levels, reflecting current trades and market prices. 
  • Customizable Alert Engine: Alerts users when margin or risk limits are breached, enabling timely action. 
  • Margin Call Workflow: Manages margin calls from alert through resolution, with tracking, audit logs, and task ownership.
  • Intraday Adjustments & Overrides: Allows manual updates to positions or cash and applies margin haircuts during the trading day to react to market changes. 
  • Analytics & Visualization Tools: Features interactive dashboards and charts to monitor margin usage, risk exposure, and portfolio trends in real time. 
  • Multi-Broker Margin Model Support: Supports multiple margin methodologies across various prime broker relationships for complex, multi-prime model setups. 
  • Reconciliation Tools: Enables detailed validation of internal margin calculations against broker statements for transparency and compliance. 
  • Failed Trade & Upload Monitoring: Provides real-time alerts on failed data imports or trade mismatches to quickly resolve issues before they impact workflows. 

Integrations

  • Core Record-Keeping Systems: e.g., SS&C Geneva for start-of-day positions and balances 
  • Order Management Systems (OMS): Real-time trade ingestion for intraday updates 
  • Market Data Providers: Live pricing from market data feeds
  • Prime Broker Margin Reports: Imports and reconciles broker statements 
  • Client Portals & Reporting: Branded, interactive portals with real-time access and communication 
  • Communication Tools: Optional chat integrations for margin resolution workflows 
  • SSO & Access Control: Secure user authentication via Okta, Active Directory, etc. 

Customization & Extensibility

  • Extensible to other product types and asset classes 

Security & Compliance

  • Enterprise-Grade Authentication: Supports SSO, OAuth2, JWT, and Active Directory, ensuring secure access control. 
  • End-to-End Encryption & Auditability: AES-256 encryption for data at rest and in transit, with full audit trails for regulatory compliance. 
  • Regulatory Compliance & Surveillance: Built-in compliance monitoring aligns with MiFID II, SEC, and FINRA standards, with real-time alerts. 

Performance Metrics & Scalability:  

  • Cloud & On-Prem Scalability: Deployed on AWS, Azure, Google Cloud, or on-prem, supporting dynamic scaling. 

Component Breakdown 

  • Issuer & Instrument Management: Dynamic interfaces for entering, editing, and viewing issuer and instrument-level data, including deal terms, interest mechanics 
  • Exposure & Position Tracking: Maintains real-time tracking of margin, exposures and positions, adjusting dynamically based on real-time execution and market reference data.  
  • Role-Based Dashboards: Provides tailored data views and access on user roles enabling efficient access to relevant insights, commentary, and search functionality. 
  • Collaboration & Audit Layer: Detailed, timestamped audit trails, promoting transparency and team collaboration. 

Category

Banks & Broker Dealers

Prime Brokers

Asset Class

Equities 

Bonds 

Options 

FX 

Structured products 

Marketplace Type

Solutions

Marketplace Business Area

Front Office

Marketplace Firm Type

Buy Side

Marketplace Asset Type

Cash Bonds

Ready to Get Started?