Our rich domain expertise & experience gives us the foresight to enhance your capabilities and keeps our BFSI solutions responsive and relevant, adapting & prepared for the future.
We would like to walk the future with you. Staying one step ahead means that we can provide safer systems that help you manage risk without worrying about peripheral issues. We are equipped with learnings from the past, our user community's knowledge and foresight of future trends. Our BFSI solutions are a combination of both products and services for better fulfillment of your requirements.
Reconciliation made easy with iMatchOur powerful reconciliation engine combines preprocessing automation & the ability to handle large volumes of data, with intelligent rule building to match & reconcile records.
Our platforms embrace Management by Exception as a design paradigm to double your operational efficiency. It enables users to configure business rules in sync with market needs, and notify them only when human intervention is necessary. Strong governance and internal controls are the cornerstones of our solutions.
As IT organizations grow and mature, there is a greater need to streamline Investment Management to deliver business value. Our solutions are built to improve your operational efficiency by addressing the core challenges you face as an Investment Management company.
Dependence on external data
Our solutions help you obtain and seamlessly process data from multiple sources i.e., custodian (position), market info (price, corporate actions), RTA (subscriptions & redemptions) and credit rating agencies (ratings, benchmarks).
We help you navigate the dynamic nature of Investment Compliance, generating hundreds of NAVs & fee complexities within a stipulated time while being accurate to the nth decimal, while also investing subscriptions on time, calculating cash demand for funds to service redemptions and predicting investible funds accurately.
Through our next generation investment management platform, Hexagram mPower, Mutual Fund institutions can now ensure timely computation of hundreds of NAVs and monitoring throughout the day. Greater operational efficiency is accomplished through automation as middle and back-office operations are a lot simpler and smoother.
Our solution enables firms to quantify and assess vulnerability across all Investment Compliance criteria, while enabling users to obtain & seamlessly process data from multiple sources. It also enables regulatory reporting which generally requires a more conservative valuation approach, driven more by amortized cost and other accounting data.
Our advisory solutions support dynamic models for asset allocation & rebalancing, provide careful investment selections and enable managers to achieve various portfolio objectives based on their clients’ goals and risk tolerance.
While it’s good to have cash on hand, managing substantial cash and equivalent assets can be a complex task. Corporate treasury managers have to keep track of the money and calculate & report the returns from those investments. This calls for collecting data efficiently, automating repetitive processes, and meeting reporting & regulatory requirements.
Front office solutions
Our robust front office module facilitates the fund managers to achieve Quicker TAT through advanced inbuilt commands. Using the command line interpreter, the user can specify a few words in a pre-defined syntax, which enables automated form filling and transaction execution while ensuring that necessary Investment Compliance checks happen.