Operations

The Operations unit handles post-trade processing, including trade confirmation, clearing, settlement, reconciliation, and corporate actions. It ensures the accurate and timely completion of transactions and maintains operational integrity of the brokerage's business processes.

This department is part of the Brokerage business area .

Products fall into the following categories:

Back-Office Processing Systems 31 products
Comprehensive platforms managing post-trade workflows, including confirmation, clearing, settlement, and reconciliation across different asset classes. more...
Custody Management Systems 28 products
Solutions for safekeeping client assets, processing corporate actions, managing dividends and interest payments, and tracking securities positions. more...
Reconciliation Software 27 products
Tools that automatically match and reconcile transactions across multiple systems, identify discrepancies, and facilitate resolution processes. more...
Corporate Actions Processing Systems 15 products
Specialized software handling dividends, stock splits, mergers, rights issues, and other corporate events affecting securities holdings. more...
Securities Lending Platforms 24 products
Systems managing the lending and borrowing of securities, including collateral management, fee calculations, and position tracking. more...
Fund Accounting Systems 8 products
Solutions calculating NAV (Net Asset Value) and managing other accounting functions for investment funds and managed accounts. more...
Document Processing Hardware 15 products
Scanners, printers, and other physical equipment for processing paper documents and checks that may still be part of brokerage operations. more...

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