An integrated front-to-back solution for advanced trade lifecycle management, portfolio management, and comprehensive risk management, designed for both buy-side and sell-side financial firms.
Vendor
FIS
Company Website
The FIS® Cross-Asset Trading and Risk Platform offers a true front-to-back trading system, providing advanced trade lifecycle management for the front, middle, and back office. It can be deployed either installed on-premise or in the cloud, featuring a single sign-on for streamlined access. This flexible platform is engineered to help financial firms quickly enter new markets and support diverse trading strategies with agility. For buy-side institutions, the platform delivers robust capabilities for trading, comprehensive portfolio management, and integrated risk management. Sell-side firms benefit from real-time controls for trading, efficient order management, accurate profit and loss tracking, and precise position keeping, all complemented by integrated risk management and general ledger functionalities within a unified platform. This comprehensive solution empowers CIOs, heads of investment, traders, portfolio managers, risk managers, and treasury professionals to address the most intricate business requirements, helping them master market complexity and principal risk trading. The platform is fully integrated for end-to-end trade management, supports multi-asset-class capabilities, and optimizes growth with a portfolio management system adaptable to any asset class or strategy. Users gain real-time access to position control, performance data, and critical risk analytics, along with global market access and connectivity through the extensive FIS global trading network of sell-side firms and trading venues.
Features & Benefits
- Comprehensive Trade Lifecycle Management
- Provides advanced front, middle, and back office trade lifecycle management, ensuring end-to-end control over trading operations.
- Flexible Deployment and Access
- Available for deployment either installed or in the cloud, offering a single sign-on for simplified and secure user access.
- Market Agility and Strategy Support
- Enables financial firms to quickly enter new markets and support new trading strategies, adapting rapidly to evolving market conditions.
- Buy-Side Specific Functionality
- Delivers robust capabilities for trading, comprehensive portfolio management, and integrated risk management tailored for buy-side institutions.
- Sell-Side Specific Functionality
- Offers real-time controls for trading, order management, profit and loss, position keeping, risk management, and general ledger, all on a single platform for sell-side firms.
- Multi-Asset-Class Portfolio Management
- Optimizes growth with a portfolio management system capable of supporting any asset class or strategy, providing flexibility for diverse investment portfolios.
- Real-Time Data and Risk Analytics
- Provides real-time position control, performance data, and critical risk insights, empowering informed decision-making.
- Global Market Connectivity
- Achieves global market access by connecting with the FIS global trading network of sell-side firms and trading venues, facilitating broad reach and efficient execution.