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Collateral Management Systems

VendorMatch Directory

  • SmartStream’s collateral management software takes an exceptions-based approach, delivering comprehensive functionality that is fully compliant…
  • Apex Collateral is FIS’ innovative solution for collateral management, optimization and trading on a single platform. It helps collateral trader…
  • IVP Treasury enables multi-strategy alternative and institutional asset managers to track, control, and optimize collateral, cash, and margin ma…
  • The comprehensive solution provides a ‘one-stop-shop’ for all collateral and margin requirements, enabling clients to consolidate OTC derivative…
  • The Broadridge Collateral Management solution offers an enterprise-wide collateral management and optimization solution for cleared/bilateral OT…
  • Broadridge Securities Finance and Collateral Management (SFCM) provides a global, front to back office securities finance solution for buy side…
  • Sentinel Risk Manager: Specifically designed to address the sophisticated risk management needs of today's CCPs and exchanges, Sentinel Risk Man…
  • Where bank treasuries often rely on several different systems, MX.3 combines all aspects of the function to provide an integrated overview of yo…
  • It is more and more important for clearers in Europe to be equipped with efficient tools to monitor the risk of clearing at a panEuropean level,…
  • MX.3 for Collateral Management is designed to simplify this method by centralizing collateral across functions and business lines for bilateral…
  • Trusted, proven and in use by 13 clearinghouses globally and backed by 20 years of knowledge and clearing experience, our clearing solutions del…
  • Vymo EngageIQ for Sales Leaders and Sellers Accelerate Sales Performance Results with an AI-Enhanced mobile and desktop solution Vymo EngageIQ i…
  • MX.3 for Trading helps our clients evolve and succeed in this changing landscape. It provides market-leading functionality for each of your busi…
  • The Matrix platform aggregates liquidity from multiple market makers across multiple asset-classes to give the best price to market takers.
  • MX.3 for Enterprise Risk Management (ERM) is designed to help financial institutions optimize their risk infrastructures and reduce the cost of…
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