Front office:
Its advanced pricing model provides traders efficient and accurate estimate of fair market value as well as conventional and advanced risk measures. Traders hence are able to execute trades at the best price and manage risk exposures at the same time.
Middle office:
The Portfolio Management system integrates all positions on a real-time basis and provides risk managers top-down & slicing-dicing capabilities to monitor risk exposures and set risk limits.
Back office:
Through RiskVal's XML and user's straight through process, transaction data are processed for settlement and reporting.
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