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SmartControl
Real Time Post Trade Risk Management

A flexible Risk Management module that provides real time, accurate Risk and P&L related information, which helps reduce client risk and blocks any further trading upon limit breach. Powerful spread definitions and cross margining allow users to clearly define their risk management approaches.
 
  Objectives
A better approach of client exposure.
An accurate monitoring of the trading activity.
The ability to cope with exponential volume increase
  Main Features
Real time monitoring of risk exposure
Limits including Open Trade Equity, Margins requirements, Cash Balances, Net Option value, …
User defined cross-margins and cross-assets computation including F&O, Equity Options, FX, CFDs, OTCs, …
Flexible Bottom-up account structure
Color coded alerts sent by email, pager, pre-trade risk management system, …
Drill-down function for in-depth and quick investigation upon alerts
Real time trade upload from different providers
Real time quotes from various sources
Versatile static data interface with exception management
 




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