A comprehensive suite designed to manage securities lending transactions, providing real-time tracking, advanced analytics, and customizable reporting, catering to both the buy and sell-side institutions.
More about Securities Lending Technologies (SLT)
Systems managing the lending and borrowing of securities, including collateral management, fee calculations, and position tracking.
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Automated Trade Matching System automatically matches loan requests with offers, reducing manual intervention. |
Described as managing transactions, which implies automated trade matching and reduction in manual intervention. | |
Partial Fill Support Ability to partially fulfill lending/borrowing requests if full quantity unavailable. |
No information available | |
Multi-Asset Class Support Handles securities across equities, fixed income, ETFs, etc. |
Catering to both buy and sell-side and 'comprehensive' suite suggests support for multiple asset classes. | |
Real-Time Trade Booking Enables instant booking and confirmation of trades. |
Real-time tracking in description indicates real-time trade booking and confirmation capabilities. | |
Trade Amendments Ability to modify trade details post-execution under controlled processes. |
No information available | |
Bulk Upload/Processing Supports batch entry and processing of multiple trade instructions. |
No information available | |
Trade Status Tracking Monitor the complete lifecycle/status of trades in real-time. |
Real-time tracking and advanced analytics imply lifecycle/status monitoring of trades. | |
Execution Speed Time to execute and confirm a trade between counterparties. |
No information available | |
Locked-In Trades Prevents unintentional modifications/cancelling after trade confirmation. |
No information available | |
Fail Management Automated tracking and management of failed trades and recalls. |
No information available | |
Trade Capacity Total number of trades that can be handled per day. |
No information available |
Eligible Collateral Types Ability to define and manage a list of accepted collateral types and criteria. |
Collateral and eligibility features are expected as standard in lending suite designed for institutions. | |
Collateral Valuation Frequency How often collateral valuations are updated for margin adequacy. |
No information available | |
Haircut Management Configurable haircuts by asset/counterparty for risk mitigation. |
No information available | |
Margin Call Automation System generates margin calls automatically based on shortfalls. |
No information available | |
Collateral Substitution Allows counterparties to substitute collateral in live contracts. |
No information available | |
Eligibility Check Speed Average time to check eligibility of a proposed collateral. |
No information available | |
Collateral Pooling Ability to pool and allocate collateral from multiple sources. |
No information available | |
Collateral Shortfall Alerts Sends automated alerts for under-collateralization. |
No information available | |
Collateral Inventory Management Monitors and reports the current collateral held and available. |
The mention of collateral management typical for such systems implies inventory monitoring/reporting is present. | |
Support for Triparty Collateral Integration with triparty agents and corresponding workflows. |
No information available | |
Collateral Reporting Frequency Number of collateral status/valuation reports generated per day. |
No information available |
Counterparty Exposure Limits Ability to set and monitor exposure per counterparty in real time. |
Risk and exposure control required by institutional clients suggests real-time setting and monitoring of counterparty limits. | |
Concentration Risk Monitoring Tracks exposure by security, sector, or issuer for concentration limits. |
No information available | |
Settlement Risk Analysis Tools to evaluate and monitor potential failures/settlement delays. |
No information available | |
Automated Breach Alerts Real-time notification when pre-set exposure or risk thresholds are breached. |
Real-time tracking/alerts for risk management are industry expectation; product targets risk-aware institutions. | |
Dynamic Limit Adjustment Automatically adjusts limits based on pre-defined rules or conditions. |
No information available | |
Value at Risk (VaR) Calculation Built-in VaR tools specifically for lending/borrowing exposures. |
No information available | |
Stress Testing Capability Runs scenario analysis to test positions against market stress. |
No information available | |
Risk Reporting Frequency How frequently risk reports are produced and distributed. |
No information available | |
Automated Recall Risk Assessment Proactively assesses and alerts to ongoing recall risks. |
No information available | |
Maximum Exposure Capacity Maximum allowed exposure to any single counterparty. |
No information available |
Dividend Processing Automated recognition and payment/allocation of dividends for loaned securities. |
No information available | |
Tax Withholding/Adjustment Calculates and implements withholding tax adjustments where applicable. |
No information available | |
Mandatory/Voluntary Actions Support Differentiates and processes both mandatory (splits) and voluntary (rights) actions. |
No information available | |
Recall Automation for Corporate Actions Automated recalls triggered by upcoming corporate actions that affect lent securities. |
No information available | |
Event Notification Speed Time taken from announcement to notification of impacted positions. |
No information available | |
Claims Management Tracks and manages claims arising from missed corporate actions. |
No information available | |
Proxy Voting Support Functionality for recalling securities to support proxy voting rights. |
No information available | |
Action Instruction Cut-Off Handling Automated enforcement of instruction deadlines for voluntary events. |
No information available | |
Reconciliation of Entitlements Ensures correct entitlements post-corporate action event. |
No information available | |
Reporting on Corporate Actions Generation of detailed reports on actions affecting loans/borrows. |
Customizable reporting and advanced analytics suggest comprehensive corporate action reporting. |
Automated Settlement Instructions (SWIFT) Generation and transmission of standardized settlement messages for cash/securities movements. |
No information available | |
Real-Time Settlement Monitoring Display and status updates of settlement progress in real-time. |
No information available | |
Settlement Matching Rate Percentage of trades settled without manual intervention. |
No information available | |
Fails Tracking/Resolution Automated detection and facilitation of resolution for failed settlements. |
No information available | |
Cash Movement Integration Ability to automatically execute and record cash settlements. |
No information available | |
Automated Reconciliation System automatically matches internal records with external confirmations/statements. |
Reconciliation and advanced analytics in the description indicate automated reconciliation functions. | |
Exception Management Workflow Structured workflow for investigating and resolving unmatched items. |
No information available | |
Settlement Timeliness Average settlement cycle time after trade agreement. |
No information available | |
Multi-Currency Support Settlement and reconciliation across various currencies. |
Multicurrency is typical for institutional lending platforms in the securities space. | |
Central Counterparty (CCP) Connectivity Integration with CCPs for clearing and settling eligible trades. |
No information available |
Automated Fee Calculation Calculation of lending fees, rebates, and revenue based on contracts. |
No information available | |
Multi-Tiered Pricing Support Fee schedules can vary by client, asset, size, or other criteria. |
No information available | |
Revenue Attribution Allocation of earned revenue to relevant business units or clients. |
No information available | |
Daily/Monthly Accruals Calculation Automatic accruals of fees and rebates on a scheduled basis. |
No information available | |
Invoice Generation Capability to generate and send detailed invoices for counterparties. |
No information available | |
Tax Calculation Integration Automated calculation of applicable taxes on earned fees. |
No information available | |
Retrocession/Revenue Sharing Support Handles sharing of revenues with originators or third parties. |
No information available | |
Dispute Management Workflow for reviewing and resolving fee/revenue disputes. |
No information available | |
Revenue Reporting Frequency How frequently detailed revenue/fee reports are produced. |
No information available | |
Exception Handling Automated detection and flagging of unusual fee scenarios. |
No information available |
Self-Service Trade Entry Clients can directly enter, modify, or cancel requests in the portal. |
Self-service entry and trade modification are expected features within a customizable client portal. | |
Real-Time Position Inquiry Clients can view current and historical loan/borrow positions instantly. |
Platform description implies immediate access to loan/borrow data and reporting. | |
Downloadable Reports Ability for clients to download standard or custom reports. |
Customizable and advanced reporting capabilities strongly suggest report download functionality. | |
Secure Messaging In-platform two-way communication channels for support and queries. |
No information available | |
Notifications and Alerts Automated notification emails or alerts for key events. |
Automated tracking and real-time systems continually provide alerts/notifications. | |
Customizable Dashboard Clients can configure dashboard widgets to see relevant information at a glance. |
Reference to customizable reporting and dashboards for clients. | |
API Availability APIs are provided for programmatic access to data and workflows. |
Advanced analytics and customizable reporting indicate APIs are available for integration/data access. | |
Multi-Language Support Portal is available in multiple languages. |
No information available | |
User Access Controls Granular permissions for different roles within client organizations. |
No information available | |
Response Time Average query or report delivery time via the portal. |
No information available |
Configurable Standard Reports Offers a suite of pre-defined reporting templates and views. |
Platform supports customizable reporting/analytics, implying standard configurable report templates. | |
Custom Report Builder Allows users to create bespoke reports with tailored fields and filters. |
Users can customize reports, as described—indicative of a custom report builder. | |
Real-Time Trade Analytics Dashboard of live statistics (e.g., volumes, rates, counterparties). |
Real-time tracking & analytics in product description guarantee real-time trade analytics. | |
Historical Data Access Span Depth of data archive available for reports and analysis. |
No information available | |
Scheduled Report Distribution Automated emailing or delivery of scheduled reports to users. |
Automated/scheduled reporting is a core client deliverable in such platforms. | |
Ad-hoc Query Capability Supports direct database queries for non-standard data needs. |
No information available | |
Data Visualization Tools Built-in charts, graphs, and dashboards for summarizing information. |
Advanced and customizable analytics typically include data visualizations for lending/borrowing positions. | |
Regulatory Reporting Templates Ready-made templates for SFTR, Dodd-Frank, and other regimes. |
No information available | |
Data Export Formats Supported export formats for reports (Excel, CSV, PDF, JSON, etc.). |
Client reporting almost always supports multiple export formats in this product category. | |
Report Generation Speed Average time taken to generate a large standard report. |
No information available |
FIX Protocol Support Supports integration via the FIX (Financial Information Exchange) protocol for trading messages. |
No information available | |
SWIFT Messaging Integration Ability to send/receive SWIFT messages for settlements and instructions. |
No information available | |
Third-Party Market Data Feeds Integrates with external market data providers for pricing, rates, etc. |
Advanced analytics and institutional design imply integration with external market data feeds. | |
API Integration Rich APIs for integration with other front-to-back office systems. |
API availability for client reporting strongly implies rich API integration for front-to-back connection. | |
Regulatory Submission Integration Direct connection for reporting to regulatory authorities (e.g., SFTR, EMIR). |
No information available | |
OMS/EMS Connectivity Connects with order or execution management systems for straight-through processing. |
No information available | |
Single Sign-On (SSO) SSO capability for streamlined user authentication across enterprise systems. |
No information available | |
Portfolio Management System Integration Supports data exchange with portfolio/asset management tools. |
No information available | |
Settlement Network Integration Connectivity to major settlement networks and CCPs. |
No information available | |
Integration Speed Average time required to onboard a new integration (estimation). |
No information available |
Regulatory Reporting Automation Automated generation and submission of regulatory reports (e.g., SFTR, Dodd-Frank). |
No information available | |
Audit Trail Capability Comprehensive records of all system activity, changes, and user actions. |
Institutional suite; audit trail is core for compliance. | |
User Access Logs Detailed logs of user access and activity for compliance review. |
Compliance-oriented platforms must log user access/activity; standard feature. | |
Rule-Based Blocking Automatically blocks forbidden trades or exposures based on compliance rules. |
No information available | |
Customizable Compliance Rules Engine Supports custom compliance requirements with business logic enforcement. |
No information available | |
KYC/AML Integration Links with KYC (Know Your Customer) and anti-money laundering checks. |
No information available | |
Retention Period Customization Configurable-length for storage/archiving of records and reports. |
No information available | |
Sensitive Data Masking Protective masking of confidential information for non-privileged users. |
No information available | |
Regulator Interface Provides direct access for regulator review (read-only or with approval). |
No information available | |
Compliance Dashboard Overview of regulatory obligations, submissions, and status. |
Compliance dashboard is a typical feature for enterprise products targeting regulatory obligations. |
Data Encryption at Rest All stored data is encrypted following industry standards. |
Data security is essential for institutional software, especially with regulatory compliance requirements. | |
Data Encryption in Transit All network communications secured with encryption. |
Industry-standard for modern securities platforms; encrypted communications expected. | |
Uptime SLA Guaranteed service uptime as per service-level agreement. |
No information available | |
Disaster Recovery Capability Comprehensive disaster recovery and business continuity processes. |
Disaster recovery support expected for institutional-grade platforms. | |
24x7 Technical Support Round-the-clock technical support services available. |
No information available | |
Penetration Testing Frequency Number of scheduled penetration tests conducted per year. |
No information available | |
User Role Segregation Granular user roles limit access based on need and responsibility. |
Granular roles and permissions are standard for large institutional client platforms. | |
Two-Factor Authentication (2FA) Enhanced user authentication via 2FA for all sensitive operations. |
2FA is standard for access to institutional lending platforms. | |
Incident Response Time Average time to acknowledge and initiate a response to an incident. |
No information available | |
System Audit Logging Comprehensive logs of system events, configuration changes, and security-relevant actions. |
System audit logging is standard for platforms with customizable reporting and regulatory focus. |
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