Post-trade operations infrastructure for broker-dealers, asset managers, and digital asset firms operating across traditional and digital settlement rails.
- Trade lifecycle management — capture, matching, settlement, reconciliation
- Net capital computation (SEC Rule 15c3-1) and customer reserve (Rule 15c3-3)
- WORM audit trail and maker-checker supervisory controls (FINRA Rule 3110)
- FIX 4.4/5.0, SWIFT ISO 20022, and digital asset network connectivity
Enterprise software. No trade execution. No asset custody.