Middle Office (MO)

Next-generation post-trade platform that streamlines and automates the entire post-trade process for broker-dealers, investment funds and asset managers. Fully adaptable to new asset classes, built to be real-time and event-driven.

Product Benefits

For more details regarding the product or
any of the features download the Whitepaper.

Key Features

Trade capture

  • Realtime FIX drop copy session to OMS – client/market orders and fills capture from multiple front office systems OMS, EMS, PMS via fix protocol.
  • Flat File Import (daily identical CSV files) – Trade data capture from various flat file formats, e.g. CSV, XML, JSON, Excel and many more.
  • Manual Trade Entry and Edit – intuitive user interface for quick manual trades entry.
  • Exceptions management functionality

Reconciliation

Automatic reconciliation process with detailed customizable report creation capabilities and various options for reconciliation issues resolution

Auto Trades Validation

Automatic validation and enrichment of the trade data with exception handling capabilities and user notification functionality.

Static data storage

All clients and accounts static data is stored in a central repository and distributes it to external systems. API available for account creation. Examples of static data include:

  • Settlement Cycles
  • Settlement Calendar
  • ISIN Lists for FTT, ITT, Stamp Duty etc.

Transaction reporting (optional)

Automatic generation and upload of regulatory reporting includes:

  • MiFID 2 data enrichment
  • ESMA XML File (w/o LEIs/personal data)
  • MiFID 2 UI

Trade generation

Auto and manual trade generation capabilities with dedicated UI for trade overview)

Commissions

Automatic commission calculation capabilities including taxes, IB fees, CSAs and more based on rules defined via commission rules definition engine with formula configuration UI.

Available functionality for manual commission entry.

Settlement and clearing

Settlement instructions sending to Settlement/Clearing houses capabilities with status retrieving functionality. Exception monitoring and handling features.

Cash accounts

File import capabilities for cash movements and corporate actions.

  • Calculation of Cash Account Balances
  • Cash Accounts Overview

Position keeping

Position calculation with overview functionality

Margin calculation

Cost of margin credit balance and short margin interest calculation capabilities (per symbol) and margin calculation per account. Available functionality for market price import

Interface to external Backoffice System

EOD transaction export

EOD positions export

EOD cash balances export

EOD margin export

Reporting Data Base

Customized reporting database with read-only access for all exit data, such as (but not limited to):

  • Trades (with all attributes separately)
  • Commissions per account
  • Fees – per trade
  • ECN Charges – per trade
  • Regulatory Charges – per trade
  • Cash Adjustments (dividends,deposits, withdrawals) – peraccount
  • Positions (per account)
  • Realized PNL – per account
  • Unrealized PNL – per position, per account
  • All Markup calculations (per trade)
  • Short margin interest – per position per account
  • Long Margin Interest – per account
  • Locates fees – per position, per account
  • Software Fees – per account
  • Market Data fees – per account
  • Miscellaneous fees – per account
  • END-OF-DAY files
  • START-OF-DAY-POSITION files

Market Data API connector

Capability to connect to client’s market data provider.

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