Solutions ยท Investment Banks & Asset Servicers
Multi-client capacity, with audit depth to match.
Servicing many clients on one platform demands two things at once: books kept cleanly separated, and an audit trail deep enough to satisfy each client's own reviewers. Not only yours.
The operational reality
Three things that scale differently for a servicer
Multi-client segregation
Each client's funds, positions and reporting kept cleanly separate, even when run on shared infrastructure.
Variable service levels
Different clients need different levels of reporting and control, without running separate systems for each.
Deep audit trails
Each client's own auditors and regulators need to be satisfied, on top of your own.
Which capabilities matter most