Order management
Multi-asset order capture with pre-trade risk limits, smart order handling and a full audit trail on every amendment.
Securities
Run your broking, wealth or treasury desk on infrastructure that is API-first, observable end to end, and built to survive the busiest session of the year.
Capabilities
Multi-asset order capture with pre-trade risk limits, smart order handling and a full audit trail on every amendment.
Exchange and liquidity-provider sessions, market data feeds, and normalised symbology across venues.
Allocations, obligations, clearing files and settlement tracking with automatic break detection.
Holdings, corporate actions, pledges and client-level segregation kept accurate through every event.
Contract notes, portfolio valuations, P&L and tax statements generated on schedule and on demand.
Rule-based monitoring, exception queues and regulator-ready extracts retained for the required period.
Engineering
Systems that handle securities fail in specific ways: a stuck queue at the open, a mismatched corporate action, a reconciliation break found after the deadline. Our architecture is shaped around preventing exactly those.
Who it is for
Launch a retail or institutional broking product without stitching together five vendors.
Model portfolios, rebalancing and client reporting on top of clean holdings data.
Bring fragmented desks onto one book of record with the controls your auditors expect.
Share your current stack and target state, and we will come back with an integration plan and a realistic migration path.