Post-Trade Solutions

Product Features

Redefining FX post-trade through automation, synchronisation, and shared data

CobaltFX Post-Trade Solutions deliver automated FX trade processing and reconciliation through a shared, real-time infrastructure. They standardise data across foreign exchange workflows, reducing cost, latency and risk.

From execution to settlement, CobaltFX Post-Trade Solutions automate validation, synchronisation and lifecycle management for FX transactions. By mutualising post-trade infrastructure, market participants share a single, verified record of every trade, helping reduce mismatches, reconciliation breaks and latency. The result is near–straight-through processing (STP) and a transparent, unified environment for institutional FX operations.

Simplify complexity

Replace redundant post-trade systems with a single interoperable framework.

Ensure data integrity

A single, synchronised source of truth helps eliminate mismatched records.

Enhance efficiency

Automation reduces manual work and helps improve accuracy across the trade lifecycle.

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Our Awards

Industry awards recognise United Fintech’s focus on innovation, collaboration, and technology for the financial industry.

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Use Case

Result:

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TESTIMONIAL
Portfolio management
Pre/post trade
compliance
Order & execution management
Detailed risk & performance
Full life-cycle management
Client 
reporting
Open
architecture
Fund & investor accounting
CobaltFX service architecture displayed as a hub-and-spoke diagram. The central CobaltFX node connects to four main service categories. Dynamic Credit provides Dynamic ECNs and Dynamic DNs. Optimisation delivers Ledger, Matching, Netting, and Payment Netting capabilities. Post-Trade Solutions encompasses Ledger, Matching, enhanced Netting with Payment Netting, and Allocations. Connectivity enables ECN Messaging and Trade Notification Network functionality.

Automation across every post-trade function.

CobaltFX Post-Trade Solutions modules integrate data from trading venues, margin control and clearing, supporting real-time accuracy and more complete lifecycle automation for institutional FX transactions.

Ledger

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

Matching

Fast, accurate trade matching across venues and systems.

Netting + Payment Netting

Combined exposure compression and settlement aggregation.

Allocations

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

Key Capabilities

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Built on standards. Backed by proof.

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

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.