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Key Features

Turnkey solution covering all market instruments including very complex structures

Complete Front-to-Back office for international Treasury operations

Sophisticated, flexible and real-time limits management including credit risk, settlement risk, trading and portfolio limits

Multiple risk monitoring tools for market, liquidity and operational risk

User-defined portfolio structure with more than 15 hierarchy levels, including IFRS, classification

Seamless deal flow through various stages, with all necessary security checks

Open architecture that allows automatic and real time interface with market data providers and dealing systems, eliminating double entries

Full STP with proper and user-defined validation steps

Front-end blotters for individual trader, presenting on a single window pricing screens and transactions

Supervision blotters allocate transactions to specific users for further processing, filtering by type of instrument and deal status

Online daily realized and unrealized P&L with analysis between the interbank P&L and the merchant P&L

Powerful and user-defined portfolio structure and reporting tools

Benefits

Reduce manual errors and streamline the full processes

Increase productivity with automatic events generation

Minimum time and resources spent on implementation

Scalability and customization to support any transaction volume increase

Real-time process at all levels (position keeping, risk management, valuations)

No limitation regarding contract set up allowing any type of structured package

Technology compatible with all industry standards. Browsers for advanced security and easy access

Open architecture ensures easy integration

 Why AcumenNet?

The flexible system AcumenNetprovides an ideal solution for the treasury and investment business of a financial institution that automates the entire cycle of the treasury and investment processes, in real time and in accordance with global standards.