Matching

Instant post-trade validation across systems and participants.

Matching automatically compares trade details across counterparties, identifies discrepancies and resolves them before settlement. This reduces manual reconciliation, improves speed and supports data reliability for reporting.

See Other Post-Trade Solutions Features

Ledger

A single, shared record for all post-trade events.

Allocations

Rule-based post-trade allocation for complex account structures.

Netting + Payment Netting

Combined exposure compression and settlement aggregation.

Built on standards. Backed by proof.

Our certifications confirm independently assessed controls and alignment with recognised industry frameworks.

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Data-driven excellence

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We turn bold ideas into measurable results. By combining insight, execution, and technology, we deliver solutions that make transformation not just achievable, but repeatable.