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FIS Securities Finance Trading and Collateral PlatformFIS

FIS Securities Finance Trading and Collateral Platform streamlines and automates securities finance and collateral management, providing a unified view of global assets for optimized trading and risk reduction.

Vendor

Vendor

FIS

FIS Securities …atform Brochure.pdf
Product details

The FIS® Securities Finance Trading and Collateral Platform empowers financial institutions to streamline and automate their securities finance and collateral management processes from front to back. This comprehensive solution offers a single platform for securities finance trading, inventory optimization, and cross-product collateral management across the entire trading book, encompassing instruments such as repo, securities lending, bilateral OTC, cleared, and listed derivatives.

As a modular collateral management system, it provides robust front-to-back trading and trade management capabilities. The platform includes integrated gateways to established market infrastructure data providers, tri-party agents, Central Counterparty Clearing Houses (CCPs), and brokers, with over 70 standard adapters maintained and available out of the box. This extensive connectivity ensures easy integration with both up- and downstream third-party systems.

The platform is designed to increase effectiveness by offering a big-picture, consolidated view of an organization's entire collateral asset pool, enhancing transparency, and facilitating optimal collateral utilization. This leads to reduced risk and increased trading revenues. It represents a unique and innovative solution for enterprise-wide collateral management, optimization, and trading, deployable either on-site or as a cloud-based service.

Features & Benefits

  • Unified Trading & Collateral Management
    • Provides a single platform for securities finance trading, inventory optimization, and cross-product collateral management across the entire trading book, including repo, securities lending, bilateral OTC, cleared, and listed derivatives.
  • Front-to-Back Automation
    • Streamlines and automates securities finance and collateral management processes from front to back, enhancing operational efficiency.
  • Comprehensive Global Asset View
    • Offers a single, cross-product and cross-asset view to optimize collateral across business lines, increasing transparency and reducing risk.
  • Extensive Connectivity & Integration
    • Features a modular system with gateways to established market infrastructure data providers, tri-party agents, CCPs, and brokers, supported by over 70 standard adapters for seamless integration with third-party systems.
  • Enhanced Trading Revenue
    • Facilitates increased trading revenues through efficient front-to-back trading and trade management for various financial instruments.
  • Flexible Deployment Options
    • Can be deployed on-site or as a cloud-based solution, offering flexibility to meet diverse infrastructure requirements.
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