Advanced Risk Management
Institutional-grade analytics for corporate treasury teams, from live exposure to hedge execution.
Real-time cash visibility across accounts and entities, with rolling liquidity forecasts and funding-gap alerts.
Launch toolTrack drawn and undrawn facilities, covenants and maturities across your debt book.
Launch toolManage term deposits and money-market investments with yield and maturity tracking.
Launch toolCross-pair portfolio dashboard with aggregated notional exposure, hedge ratios and VaR breakdown across all underlyings.
Launch toolMap exposures across currencies, tenors and product types: contracted, forecasted and potential.
Launch toolIndependent mark-to-market valuations for FX, interest-rate and commodity trades.
Launch toolBenchmark bank pricing by counterparty and document best execution.
Launch toolQuantify portfolio risk using parametric, historical or Monte Carlo VaR across all hedge layers.
Launch toolStress-test against historic crises and custom shocks across FX, rates and commodities.
Launch toolAnalyse interest-rate hedges and their effectiveness across your debt and derivative book.
Launch toolDefine risk appetite and capacity, then monitor exposures against your limits.
Launch toolBenchmark your hedging approach and metrics against comparable sector peers.
Launch toolChoose the right FX instrument for each exposure: forwards, options and structures compared.
Launch toolCompare passive, active and structured FX strategies against your risk profile and targets.
Launch toolMeasure interest-rate sensitivity (DV01 / PV01) across your debt and derivative book.
Launch toolBacktest hedging strategies against historic market data to see how they would have performed.
Coming soon