178 resultados
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Vestserve proporciona una solución integrada de gestión de inversiones en varias monedas "IMS" que admite cualquier clase de activo. Características de la gestión de cartera: modelado/cumplimiento basado en reglas, medición del rendimiento (por ejemplo, GIPS, IRR), analíticas de riesgos, asignaciones y devoluciones en todos los niveles, herramienta de escenario y análisis de curvas de rendimiento. Las funciones contables más avanzadas incluyen el análisis de escenarios hipotéticos y el flujo de caja, el cálculo de tarifas complejas, la unidad y la agregación de datos. Descubre más sobre VestServe Solución de contabilidad y gestión de carteras en tiempo real, escalable y totalmente integrada, que puede mejorar considerablemente el rendimiento comercial. Descubre más sobre VestServe
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BlackSwan Financial Platform modela con precisión los instrumentos financieros teniendo en cuenta los comportamientos extremos para recomendar el mejor equilibrio entre riesgo y retorno. Desarrollado sobre la base de más de 20 años de investigación académica combinada destinada a encontrar una mejora en el algoritmo de frontera eficiente general, BlackSwan tiene una precisión superior: utiliza distribuciones no gaussianas para ayudarlo a optimizar combinaciones de activos en entornos de inversión inciertos. Descubre más sobre BlackSwan Una plataforma financiera que utiliza un algoritmo único que ayuda a optimizar combinaciones de activos en entornos de inversión inciertos. Descubre más sobre BlackSwan
RISKTURN es una innovadora solución en la nube para generar presupuestos de capital basados en riesgos. Presenta una interfaz simple e intuitiva para generar pronósticos comerciales probabilísticos en solo 5 pasos. Este potente modelo integra variables de incertidumbre financieras y de tiempo en una previsión de flujo de caja. Luego, al ejecutar una simulación Monte Carlo, ofrece un conjunto completo de indicadores financieros probabilísticos para una sola iniciativa o para una cartera (por ejemplo, probabilidad de alcanzar el objetivo de rentabilidad, VaR, CFaR, sensibilidad…). Descubre más sobre Riskturn Solución para la previsión de flujo de caja basada en riesgos. Con la simulación Monte Carlo podrás tomar decisiones con mayor confianza y visibilidad. Descubre más sobre Riskturn
KYC Portal automatiza el proceso (usualmente) manual y lento que lleva a cabo tu equipo de cumplimiento en temas nuevos y pasados. Descubre más sobre KYC Portal KYC Portal automatiza el proceso (usualmente) manual y lento que lleva a cabo tu equipo de cumplimiento en temas nuevos y pasados. Descubre más sobre KYC Portal
PayPal ayuda a más de 17 millones de empresas con soluciones de pago y crédito. PayPal ayuda a más de 17 millones de empresas con soluciones de pago y crédito.
Entorno de programación para el desarrollo de algoritmos, análisis de datos, visualización y cómputo numérico. Entorno de programación para el desarrollo de algoritmos, análisis de datos, visualización y cómputo numérico.
Sistema de cómputo técnico que proporciona herramientas para el procesamiento de imágenes, geometría, visualización, aprendizaje de máquinas, minería de datos y mucho más. Sistema de cómputo técnico que proporciona herramientas para el procesamiento de imágenes, geometría, visualización, aprendizaje de máquinas, minería de datos y mucho más.
Protégete de las pérdidas por fraude y fortalece los procesos internos con controles financieros de nivel empresarial. Tipalti ofrece controles granulares sobre las cuentas por pagar y las operaciones de pago para aumentar la seguridad de los datos financieros confidenciales, asegura el cumplimiento impositivo continuo de la Oficina de Control de Activos Extranjeros (OFAC) y la Ley de Cumplimiento Tributario de Cuentas Extranjeras (FATCA) de los EE. UU. y mejorar la supervisión de la gestión de los procesos clave de cuentas por pagar. Configura el acceso a los datos, establece los derechos de los firmantes, protege con detección continua, evita el fraude y reduce el riesgo con los controles de las cuentas por pagar.
Backstop Solutions existe para ayudar al sector de las inversiones alternativas a aprovechar su tiempo al máximo. Cada minuto importa en este sector y el objetivo es ayudar a los clientes a reemplazar sus complicadas listas de tareas con procesos de negocio optimizados. Esta solución lo hace proporcionando la mejor tecnología de productividad basada en la nube a los administradores de activos y a los asignadores, ayudándoles a mejorar y retener capital, gestionar investigaciones y carteras y prestar servicios a sus principales accionistas. Backstop Solutions ofrece soluciones de productividad basadas en la nube para empresas de inversión institucionales y gestores de activos alternativos.
Ideal para fondos privados y capital riesgo, Carta facilita a los propietarios de capital en empresas privadas el seguimiento y la gestión de la propiedad y la ejecución de sus funciones administrativas. Carta se fundó en 2012 para ayudar a las empresas privadas a gestionar sus tablas de capitalización. Desde entonces, los servicios de Carta se han ampliado para incluir valoraciones de ASC 820, contabilidad de fondos y más. Con más de 10 000 empresas, más de 700 000 usuarios y un valor superior a los 200 000 millones de dólares en activos privados. Carta es una plataforma de gestión de propiedad para empresas, inversores y empleados.
HighBond centralizes and simplifies core risk management activities in a single, integrated platform across the end-to-end risk process. The software also reduces subjectivity by seamlessly integrating risk indicators into the assessment process. Plus it helps distributed teams identify risks and aggregate risk assessments through remote workshops. As a result, risk management spends less time on process administration and more time effecting change. Integrated risk management software that identifies, assesses, responds to, and monitors your enterprise risks.
El conjunto de gestión de rendimiento empresarial (EPM) de Corporater es una solución de software que integra KPI y paneles de control con la forma en que los clientes dirigen su negocio a través de la medición, la administración y el rendimiento de la conducción. EPM Suite es una solución altamente flexible que puede configurarse para una amplia variedad de modelos de gestión de rendimiento. Corporater ayuda a los clientes a contar toda la historia de rendimiento, donde las decisiones se apoyan en la analítica y se pueden poner en ejecución a través de acciones y proyectos. El conjunto de gestión de rendimiento empresarial (EPM) de Corporater es un software que se puede configurar para una amplia variedad de modelos de rendimiento.
@RISK realiza un análisis de riesgo utilizando la simulación de Monte Carlo para mostrarte muchos resultados posibles en tu modelo de hoja de cálculo y la probabilidad de que ocurran. Calcula y rastrea matemática y objetivamente diferentes escenarios futuros posibles, luego te informa de las probabilidades y riesgos asociados con cada uno. Esto significa que puedes juzgar qué riesgos tomar y cuáles evitar, permitiendo la mejor toma de decisiones bajo incertidumbre. Muestra muchos resultados posibles y qué tan probables son para que puedas juzgar qué riesgos tomar. Permite la mejor decisión bajo incertidumbre.
Spreadsheet-based; for predictive modeling, forecasting, simulation, and optimization for insight into the factors affecting risk. Spreadsheet-based; for predictive modeling, forecasting, simulation, and optimization for insight into the factors affecting risk.
The Windham Portfolio Advisor (WPA) is a complete asset allocation, risk management, and simulation platform designed to assist the most sophisticated investment professionals in the construction of efficient portfolios. Perform complex portfolio analysis using the WPA's intuitive workflow and implement the latest portfolio construction innovations into your investment process with support from Windham's experienced client servicing team. For institutional investors - return and risk estimation, portfolio construction and evaluation, cash flow simulation, and reporting.
The Closing Docs is an automated income verification tool that allows property managers and lenders to make the best approval decisions. Using The Closing Docs enables property managers and lenders to expedite the review and approval process, while increasing the accuracy of their applicant's reported income. Automated income verification of your applicant to make the best decisions as a property manager or lender.
Portfolio management solution that helps businesses manage compliance, modeling, scenario simulation, and workflow automation. Portfolio management solution that helps businesses manage compliance, modeling, scenario simulation, and workflow automation.
The Northstar platform helps hedge funds manage risk, evaluate performance, and effectively communicate with investors. Northstar is not just software, it is a service. At Northstar, our experts will fully integrate your back office systems with our risk and performance platform. Northstar is faster, easier to maintain and more accurate, saving you time and money. This is truly software as a service. Solutions for Risk, Performance, and Investor Reporting
Augmented Cash is a global accounts receivable SaaS solution that helps manage financial risk and reduce bad debts. It combines payment behavior and financial commitments on an account to better assess customer risk. It integrates with external financial information sources such as CreditSafe, Ellisphere, Coface, or credit insurers to give a full picture of financial risk. It uses AI to accelerate cash collection and improves dispute management. Includes analytics and cash forecasting. Use AI plus payment behavior and financial commitments data, financial agency sources & credit insurers, to assess risk & reduce debt.
ModelRisk es un complemento de Excel que permite al usuario incluir incertidumbre en sus modelos de hoja de cálculo. ModelRisk ha sido el líder en innovación en el mercado desde 2009, siendo el primero en presentar muchas características técnicas que hacen que los modelos de riesgo sean más fáciles de construir, más fáciles de auditar y probar y que se adapten con mayor precisión a los problemas que enfrentas. Complemento de Excel que permite al usuario incluir incertidumbre en sus modelos de hoja de cálculo.
Web and mobile-based, fleet management platform that helps small lenders and BHPH dealers manage auto loans with alerting, detailed histories, and reference validation using GPS tracking system. GPS solution that helps small lenders and BHPH dealers manage auto loans with alerting, detailed histories, and reference validation.
La plataforma de integración empresarial y bancaria de AccessPay resuelve los desafíos de integración bancaria para los equipos de finanzas y tesorería globales. AccessPay crea un entorno fluido en el que las organizaciones pueden conectar de forma segura cualquier solución administrativa con más de 11 000 bancos y esquemas de pago (Swift, SEPA, Bacs). El paquete de conectividad de AccessPay mejora la eficiencia operativa y ayuda a tomar decisiones precisas con pagos automatizados, gestión de efectivo y funcionalidad de gestión de riesgos. La plataforma de integración empresarial y bancaria que resuelve los complejos desafíos de integración bancaria para los equipos de finanzas y tesorería globales.
SmartRisk can help you move prospects to the planning process and motivate clients to make portfolio changes. Retain clients during a down market and help prevent clients from making costly investment mistakes. Showcase and market your expertise. Clients are often blind to market risk and typically dont have accurate downside expectations either too conservative or too reckless, leading to suboptimal investment allocations. With SmartRisk, advisors can analyze portfolio risk. With SmartRisk, advisors can analyze portfolio risk and easily communicate with clients to help them avoid costly mistakes.
Positive Corrective Action is an Employee Relations software solution. Improved efficiencies and reduced risk and exposure to litigation. Has a positive impact on the companies culture by providing consistency and fairness for the entire organization. Employee Relations software solution that substantially reduces the company's risk and exposure to litigation.
DNBi is advanced business credit risk management software that allows users to automate credit decisions, standardize the credit review processes, conduct advanced portfolio and account analysis, and manage your account portfolio more effectively. It also offers an online credit application and a Salesforce.com app that allows sales teams to submit and receive instant credit decisions. Cloud-based tool that helps firms optimize cash flows, standardize credit policies, monitor financial risks via real-time data analysis
Xcellerator provides spreadsheet review, analysis and comparison. With spreadsheet usage prevalent across every enterprise, Xcellerator is being used by Fortune 100 companies to reduce spreadsheet remediation processes from months to weeks. Xcellerator provides spreadsheet review, analysis and comparison.
Cross asset derivatives, treasury and securities system. Front to back solutions. Cross asset derivatives, treasury and securities system. Front to back solutions.
Scalable GRC platform that integrates solutions for tracking operational activities and managing enterprise risks, compliance, incidents, vendors, and policies. Scalable GRC platform for tracking operational activities and managing enterprise risks, compliance, incidents, vendors, and policies.
GenSight software platform covers the entire innovation process, including: Idea Management, Project/Product Management, Governance, Finance, Portfolio, Resource Management & Strategic Planning. Improved cross functional working gets the best products to market more quickly, with less risk and less cost. Software functionality is configurable and tailored to specific client needs. Available via the cloud or installed on-premise. GenSight is a software platform to enhance the innovation process in large global and mid-sized corporations.
A SaaS platform for defining and tracking global corporate compliances (Corporate Secretarial, Finance, Tax, HR) across legal entities. The proprietary rule-based algorithm and engine offers a powerful and highly configurable set of modules that bring increased accountability and management visibility. Key features include: Dashboard and Analytics, Compliance Calendar, Virtual Compliance Room, Organogram and our proprietary knowledge repository Compliancepedia. SaaS solution for tracking compliances (Corporate Secretarial, Finance, Tax, HR) globally across legal entities.
Plataforma de gestión de tesorería SaaS para tesorería corporativa. Automatiza los procesos de efectivo, liquidez, pagos y financiación de la cadena de suministro. Plataforma de gestión de tesorería SaaS para tesorería corporativa. Automatiza los procesos de efectivo, liquidez, pagos y financiación de la cadena de suministro.
IHS Markit's iLEVEL platform is a cloud-based portfolio management solution that enables private capital investors to seamlessly evaluate and report on the performance of their portfolios. iLEVEL simplifies the process of collecting data from portfolio companies and fund investments, aggregating and storing it in a centralized repository, where firms can generate customized analytics and reports in real time. IHS Markit's iLEVEL platform is the industry leading cloud-based portfolio management platform for private capital investors.
SRA Watchtower is a SaaS-based Enterprise Risk Intelligence and Collaboration Platform that aggregates, integrates, normalizes, and reports all critical risk and performance indicators on a continuous basis. SRA Watchtower provides Executives and Board Members with real-time access to company-wide risk performance data, integrated in a way so as to strategically optimize risk strategy to the bottom line. GRC solution that helps monitor bank-wide data to normalize critical risks and the potential negative effects on company's performance.
Counterparty, credit, contract & collateral risk management solution for risk managers, traders, and credit risk officers. Counterparty, credit, contract & collateral risk management solution for risk managers, traders, and credit risk officers.
AgenaRisk uses the latest developments from the field of Bayesian AI and probabilistic reasoning to model complex, risky problems and improve how decisions are made. You can use AgenaRisk to make predictions, perform diagnostics and make decisions by combining data and knowledge about complex causal and other dependencies in the real world. Our clients use AgenaRisk to model operational risk, systems safety & reliability, health risk, cyber-security risk and strategic financial planning. AgenaRisk uses the latest developments from the field of Bayesian AI and probabilistic reasoning to model complex, risky problems.
Numerix is the leader of innovative capital markets technology solutions and real-time intelligence capabilities for trading and risk management. Committed to the exploration and adoption of latest technologies, Numerix is dedicated to driving a more open, fintech oriented, digital financial services market. Built upon a foundation of deep practical knowledge, experience and IT understanding, Numerix helps its users reimagine operations, modernize business processes and capture profitability Financial risk management solution that helps businesses manage assets and complexities involved with derivative trading.
Resolution provides tools for valuation, risk management and hedge accounting of derivatives and other financial instruments. Coverage includes interest rate swaps, caps, floors, swaptions, fx options, commodity swaps & options and equity options. Use pre-built calculators, build your own spreadsheets or direct access via SDK. A web-based solution for independent valuation, treasury management and hedge accounting is also available. Free trial is available for download. Analytical tools for the valuation of financial instruments including interest rate derivatives, foreign exchange, commodities and more
Cloud-based financial risk management solution that lets businesses manage portfolio and analyze stock values. Cloud-based financial risk management solution that lets businesses manage portfolio and analyze stock values.
This software utilizes historical data to determine Buy, Hold, and Sell prices to help you know when to invest and when to pull. This software utilizes historical data to determine Buy, Hold, and Sell prices to help you know when to invest and when to pull.
Achieve perfect market timing and portfolio diversity using the PSS Digital Portfolio Theory. Stock investing solution that helps businesses monitor digital signals, timings of trade markets, mean-variance analysis, and more.
Excel-based financial risk management solution that helps farmers with fixed costs, scale of operation, yield estimates and more. Excel-based financial risk management solution that helps farmers with fixed costs, scale of operation, yield estimates and more.
Perform For Private Clients helps you to analyze your portfolio and adapt to an ever changing market. Our powerful portfolio management tool is designed specifically for managers in the private wealth management segment of the bond industry. We provide decision functionality for trading in multiple portfolios; compliance; the ability to drill down from portfolios to bond holdings (and back; and flexibility to sort accounts in a variety of ways. Financial risk management tool that helps manage account-specific compliance issues, track ticket trading, and maintain audit history.
Las características incluyen horario, línea de tiempo, gráfica de burbujas del porfolio, herramienta de resumen y análisis financiero. Las características incluyen horario, línea de tiempo, gráfica de burbujas del porfolio, herramienta de resumen y análisis financiero.
Risk analysis solution that provides multiple play segment characterization, forecasting from limited data sets, and pilot-sizing. Risk analysis solution that provides multiple play segment characterization, forecasting from limited data sets, and pilot-sizing.
Software that automates the administration of large commercial loans with advanced accounting capabilities, and investor servicing. Software that automates the administration of large commercial loans with advanced accounting capabilities, and investor servicing.
Structure and evaluate any financial product or trading strategy fast and accurate. Structure and evaluate any financial product or trading strategy fast and accurate.
zeb.control - Increase your earnings while managing your risk! An efficient management of financial service providers requires flexible information, planning and analysis tools. The zeb.control product range provides the technical support for managing a variety of financial controlling, risk measurement and monitoring, accounting and value management tasks. The product range and the modules are freely combined, enabling a quick integration into existing IT structures. Bank information system that addresses all aspects of modern bank management
AC Plus's comprehensive data integration, enrichment, and cleansing capabilities provide high quality, consistent pricing and reference data for compliance, regulatory reporting and risk. AC Plus module 'Risk Data Manager' gives you complete control over your risk data. Perspectives and panes provide optimum presentation of curves and surfaces, logic and templates link enhanced UIs to sample risk objects, and an integrated risk data gives access to all risk data at a glance AC Plus helps financial services companies control the huge volume of data flowing through their organisations.
Broker-neutral multi-assets Trading Platform combines order management and charting screens, algorithmic trading servers, market data distribution system and internal order matching facility. Broker-neutral multi-assets trading Platform combines order management and charting screens, algorithmic trading servers and more.
Provenir hace que las analíticas de riesgos sean más rápidas y sencillas para las instituciones financieras. El análisis de riesgos de Provenir y la plataforma de toma de decisiones son un poderoso centro de organización que puede escuchar cualquier canal, integrarse con cualquier servicio de datos y poner en funcionamiento cualquier modelo analítico. Se ayuda a los clientes a procesar más aplicaciones con mayor eficiencia y aumentar las conversiones de ventas con una decisión de riesgo instantánea y en tiempo real. Se atiende a clientes en una amplia gama de verticales financieros, lo que incluye consumidores, comerciales y tarjetas. Origen del préstamo, toma de decisiones de riesgo crediticio, incorporación de comerciante y KYC
Financial software solution to aid in generating economic forecasts and optimizing future objectives using data. Financial software solution to aid in generating economic forecasts and optimizing future objectives using data.
A financial management solution with features for risk management, audit, compliance, strategy, and more. A financial management solution with features for risk management, audit, compliance, strategy, and more.
GLAnalytics, para empresas con ingresos de entre 1 y 500 millones de dólares, es una solución proactiva de detección de fraude y errores de ingreso de datos para nóminas, cuentas por pagar, cuentas por cobrar y actividades del libro diario (un problema de más de 400 mil millones de dólares). La funcionalidad principal incluye: 1. Detección proactiva de errores de datos o actividad fraudulenta en los registros financieros antes de que se conviertan en problemas. 2. Plataforma de diligencia debida auditable y medible para mejorar la calidad de tus datos 3. Mejores perspectivas sobre los datos existentes 4. Fácil de usar y muy rentable Detección proactiva de errores y fraude de empleados para nóminas, cuentas por pagar, cuentas por cobrar y entradas de diario generales.
Get the financial insights you need to monitor cash flow and further growth. All you have to do is connect your business and PayPie will automatically analyze and transform your current financial data into a detailed, visual and easy-to-understand report. How do your cash inflows compare against your outflows? What do your key ratios say about you? Which customers are taking the longest to pay their invoices? How is your business perceived in terms of risk? Answer these questions and more. Intuitive cash flow forecasting and risk assessment that provides actionable insights to build better financial health.
Impero is the user-friendly finance and tax compliance management platform that enables companies to easily manage risks and controls through automation to gain full overview and ensure efficient compliance. Impero enables companies to efficiently manage risks and controls through automation to ensure compliance.
HiddenLevers is a risk technology platform providing next-level applications for the wealth management space. With over $500 billion in assets on our platform, HiddenLevers offers client-facing and home office solutions aimed at executives, financial advisors, asset managers, and portfolio managers. The cloud-based platform includes a cutting-edge macro-scenario library portfolio stress testing, model construction, investment proposal generation, and enterprise risk and revenue monitoring. Comprehensive portfolio analytics and cutting-edge macro scenario stress testing for financial advisors and asset managers.
Klare Sicht auf Ihre Liquiditt im Tool flowpilot zeigt den Verlauf Ihres Cashflows als anschauliches Diagramm. Sie sehen sofort, wie sich Ihre Zahlungsfhigkeit entwickelt hat und knnen Ihre Liquidittt verbessern. Nie wieder Excel! Einfach in die Zukunft planen Mit wenigen Clicks planen Sie Ihre Liquiditt im Tool und legen Szenarien bis zu fnf Jahre in die Zukunft in der Software an. Und immer aktuell durch importierte Buchhaltungsdaten. Fundierte Entscheidungen mit Finanzplanung! Liquidität einfach planen 5 min Setup mit aktuellen Daten aus Ihrer Buchhaltung Automatisierte Cashflow-Prognose und Szenarien
Crea una integración perfecta desde tu organización de Salesforce a los proveedores de datos crediticios líderes del sector. Crea una integración perfecta desde tu organización de Salesforce a los proveedores de datos crediticios líderes del sector.
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eFront Insight LP: la plataforma eFront Insight integra datos directamente de eFront Data Intelligence, el mejor servicio de datos de eFront en su clase. Obtenido directamente de sociedades de negocios (GP) y sometido a rigurosos protocolos de validación, los datos EDI se han convertido en el estándar para la granularidad e integridad de los datos. Los datos a nivel de fondo y los puntos de referencia precisos también se integran directamente de PitchBook para aumentar la agilidad y la eficiencia de los análisis del mercado privado. Aprovecha los datos de inversión granulares, la tecnología confiable de evaluación comparativa y una plataforma poderosa para generar niveles de conocimiento sin precedentes.
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Suite of solutions for commodity trading and risk management that work in real-time from the front- through the back-office. Suite of solutions for commodity trading and risk management that work in real-time from the front- through the back-office.
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Una solución basada en la web que satisface todas tus necesidades de gestión de garantías estratégicas y regulatorias, compensación, gestión de inventarios y optimización en cualquier lugar donde opere tu empresa, en cualquier zona horaria. En el corazón del sistema se encuentra un gestor de inventario empresarial potente y configurable que interactúa con los sistemas existentes. COLLINE se actualiza regularmente para mantener el ritmo de todos los requisitos de llamadas de margen, globalmente.
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Aravo is a SaaS solution for managing risk, compliance, and performance associated with third-party relationships (e.g., vendors, suppliers, affiliates) across the entire lifecycle of the relationship. Built on a single platform optimized for scalability and flexibility, Aravo offers quickly implemented, pre-configured solutions for FSRA, ABAC, GDPR, infosec, and performance. Used by some of the world's largest brands, it can also be configured to manage & mitigate risk in virtually any domain. Aravo is a best-of-breed SaaS solution for managing risk, compliance, and performance associated with third-party relationships.
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Regulatory compliance management solution that allows a healthcare organization to manage their compliance documents and analyze compliance progress. Regulatory compliance solution for healthcare organizations designed to manage compliance documents and analyze compliance progress.
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EMA's Excerpt with FASTVaR is a complete market risk solution. It handles all traded assets - equities, bonds and derivatives, all global markets, provides both risk level and risk attribution, and the risk level - VaR, tracking error or volatility, is computed both for the long term and, with the FASTVaR option, with a one-day time horizon. Typical clients are small, medium and large asset managers running UCITS & equivalent funds and institutional mandates. Pricing is from USD10k to USD250k pa An easy-to-use portfolio risk analysis program, producing a very wide range of analytical reports suitable for risk management.
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OpenLink's clients represent a broad cross-section of financial institutions with diverse objectives and business interests. However, they share a common need for a robust foundation that can meet all of their demanding business and technical requirements, including: Powerful Analytics, Real-time Capability, Performance and Flexibility, Broad Asset Class Coverage, Transparency and Security, Scalability, Efficiency, Cutting Edge Technology. Fully integrated, front through back-office solution for trading, risk management and operations needs in various financial markets.
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FERNBACH is a group of medium-sized software and consulting companies operating worldwide who specialise in providing financial solutions. Our range on offer basically consists of a modular solution system, containing calculation engines, processes, interfaces, accounting templates and much more for numerous kinds of tasks. How these modules form a ready-made solution has been published in blueprints that have been implemented for our customers. Risk management solution for credit risk, market risk and liquidity risk.
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Executive dashboard providing real-time alerts and metrics at the firm level down to the account level. Executive dashboard providing real-time alerts and metrics at the firm level down to the account level.
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La implementación de modelos predictivos se acelera con la plataforma ADAP. Esta solución no construye modelos predictivos, sino que los implementa (reglas de puntuación y comerciales) en la nube, en el sitio, en una base de datos para necesidades de Big Data y en tiempo real. Se basa en el estándar PMML para poder aceptar modelos comerciales y de código abierto. Un marco de gestión de riesgos para decisiones complejas de suscripción automática o escenarios simples de precalificación.
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Suite of financial risk management software that helps check and analyse reliability, availability, maintenance & safety of electrical and mechanical elements and systems. It conforms to well established and recognised standards and techniques. Financial risk management tool that helps track and analyze maintenance & safety of electrical and mechanical elements and systems.
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With RiskAPI PortfolioScience has created unique software allowing users access to powerful, managed risk analysis calculation resources from within their existing spreadsheets. Integrate sophisticated portfolio risk management into your existing environment. Access a full range of analysis tools - VAR, Correlation, Beta, and more - all within your existing framework. RiskAPI offers one simple, affordable and powerful right out-of-the box risk management solution Unique software that allows access to powerful, managed risk analysis calculation resources from within your existing spreadsheets.
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Facilitates and simplifies the legal requirements for risk assessments and record keeping. Enables you to control risk. Facilitates and simplifies the legal requirements for risk assessments and record keeping. Enables you to control risk.
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Eka is the global leader in providing Smart Commodity Management software solutions. Ekas analytics-driven, end-to-end Commodity Management platform enables companies to efficiently and profitably meet the challenges of complex and volatile markets. The companys best-of-breed solutions manage commodity trading, enterprise risk, compliance, procurement, supply chain, operations, logistics, bulk handling, processing, and decision support. Eka provides next-generation CTRM & ETRM solutions for commodities companies in ags, metals, energy, and manufacturing.
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Offers totally integrated credit risk, market risk, asset and liability management, and performance measurement. Offers totally integrated credit risk, market risk, asset and liability management, and performance measurement.
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Risk management system: intelligently anticipates, based on a proprietary algorithm, the worst case portfolio scenario. Risk management system: intelligently anticipates, based on a proprietary algorithm, the worst case portfolio scenario.
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Provides a high-performance analytical engine and user-friendly application components for sophisticated risk analysis. Provides a high-performance analytical engine and user-friendly application components for sophisticated risk analysis.

RMX

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Risk management system that provides advanced tools to let users review all aspects of their risk,including in all the exotics traded in the market. Risk management system that allows users to review all aspects of their risk, including in all the exotics traded in the market.
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Integrates Risk, Compliance & Internal Audit Programs, replicates & synchronizes selected information between databases. Integrates Risk, Compliance & Internal Audit Programs, replicates & synchronizes selected information between databases.
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Micro finance credit reporting and risk information database. Micro finance credit reporting and risk information database.
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Financial risk management solution that helps identify sources of portfolio risk through attribution analysis, VaR simulations & more. Financial risk management solution that helps identify sources of portfolio risk through attribution analysis, VaR simulations & more.
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Analytics tool for bank performance and credit risk benchmarking, audit risk and assurance, and Basel II model validation Analytics tool for bank performance and credit risk benchmarking, audit risk and assurance, and Basel II model validation
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A comprehensive and integrated Basel 2 Operational Risk and SOX solution. A comprehensive and integrated Basel 2 Operational Risk and SOX solution.
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RISQUE is a cross-asset trading and risk management solution that enables investment banks to implement true Straight Through Processing across all of their trading activity. The combination of broad instrument coverage, high performance, open and flexible architecture, and user friendliness makes RISQUE a unique global system used by more than a third of the world's top 25 banks. It is a cross-asset trading and risk management solution for banks involved in derivatives.
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Riskdata is a leading provider of risk analytics to the buy side community and offers cross-asset-class solutions to Asset Owners and Asset Managers. -Riskdata Reporting Platform offers a Batch reporting platform, with reports templates meeting the most challenging regulatory standards. -Portfolio Designer provides portfolio construction, ulta-fast optimization, risk budgeting and what-if tools. -Riskdata Development Kit is a high performance API, allowing low latency pre-trade simulation. Riskdata is a leading provider of risk analytics and offers cross-asset-class solutions to Asset Owners and Asset managers.
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Sophisticated and highly flexible portfolio credit risk model supplying detailed risk reports and risk return tradeoffs. Sophisticated and highly flexible portfolio credit risk model supplying detailed risk reports and risk return tradeoffs.
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Perform sensitivity analysis through three possibilities: tornado analysis, spider analysis and sensitivity tables. Perform sensitivity analysis through three possibilities: tornado analysis, spider analysis and sensitivity tables.
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The solution includes an accounting engine and general ledger; a financing module; collateral and margin reports as part of a risk module; a centralised counterparty module for compliance; a centralised security and market data module; a central rates and fees template engine which can drive fees, commissions, margin, and financing rates; a stock loan module; and a configurable client P&L module. We have integrated with DMA trading platforms, prime brokers, fund administrators, custodian banks. The ideal solution for a broad range of financial services firms from prime brokers to family offices.
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QuantRisk high-performance brand new Java based Energy Trading & Risk Platform is made of several systems seamlessly integrated & delivered in web browsers. These are: Trade Capture & Transaction Management; Real-time Energy Trading & Scheduling, Data Feed & Storage automation; Analytics, Monte Carlo Simulations, Stochastic Modeling; Market & Credit Risk Management; Assets Optimization. We provide multiple commodity, energy (including electricity) and currencies coverage. Automates analytics, simulation, valuation and risk computing for - a range of securities, asset classes and risk indicators evaluated.
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Outsourced trading analytics and development on the Protozoa platform. Outsourced trading analytics and development on the Protozoa platform.
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Risk management solution that helps establish business continuity through auditing and handling of portfolios for insurance and claims. Risk management solution that helps establish business continuity through auditing and handling of portfolios for insurance and claims.
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Advanced Risk Management software for the financial services, telecommunications, retail, manufacturing and transportation industries. Advanced Risk Management software for the financial services, telecommunications, retail, manufacturing and transportation industries.
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Uses a powerful visual engine to graphically show risks providing you with a richer risk picture supporting your decision making. Uses a powerful visual engine to graphically show risks providing you with a richer risk picture supporting your decision making.
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Portfolio Genius is TPG's core system, providing investment management and accounting for both the asset and liability sides of your balance sheet. The system provides the ability to process purchases, sales, principal redemptions, and interest payments for a wide range of investment/liability securities. By leveraging one platform for all your business lines, you can significantly improve workflows by removing the inherent inefficiencies associated with a "silo" approach to data management. Integrated suite of investment accounting & risk management that helps manage purchases, principal redemptions, sales, and more.
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Designed for producers, traders and procurers, it is a risk management solution that assists in trading commodities. Designed for producers, traders and procurers, it is a risk management solution that assists in trading commodities.
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SmartModels from Intuitive Analytics is a state-of-the-art financial software suite. Most applications are oriented towards solving public finance problems: bond structuring, interest rate risk management, and asset-liability management. Analytics are simulation based with flexible, fast, industrial strength optimization algorithms. State-of-the-art financial analytic software suite. Fast, consistent, intuitive analysis for a competitive edge that is quantifiable.
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iRely combines both the physical supply chain & hedging aspects of commodity businesses into a single, integrated solution. Real time reporting enables iRely customers to manage operational & financial risk to ensure superior customer service & manage the market risks inherent in the business. Always know your exposure not only to the physical markets, but to the futures markets as well considering physical exposure, futures position, & other derivative instruments on a delta-equivalent basis. Risk management solution that enables businesses to manage trading, logistics and manufacturing processes for the commodity markets.
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TreasuryView is a simple but powerful tool that helps financial risk professionals increase client revenus and retention. Track your client's financial risk profile, leverage this knowledge into competitive solutions and present these in a fast, effective manner. Track client financial risk profile, leverage this knowledge into competitive solutions and present in a fast, effective manner.
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For insurers'' or reinsurers'' contracts and business lines. Optimize ceded or retrocession programs. For insurers'' or reinsurers'' contracts and business lines. Optimize ceded or retrocession programs.
This software is designed to optimize your portfolio and innovate how you invest and your asset allocation. This software is designed to optimize your portfolio and innovate how you invest and your asset allocation.
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CRIF Lending Solutions combines innovative technology, services and consulting to enable clients to be leaders in the financial services industry. This is achieved with knowledgeable and passionate people, strong partner cooperation and, above all, long-term interactive client relationships. CRIF Lending Solutions is a part of CRIF, the leading global company specializing in the development and management of decision support systems. Solutions that help lending and credit companies make smarter, real-time business process management and risk decisions.
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Al importar datos de tu hoja de cálculo personalizada y seguir las pautas especificadas, crea un informe detallado. Al importar datos de tu hoja de cálculo personalizada y seguir las pautas especificadas, crea un informe detallado.