Brady’s Treasury solution, Trinity, offers comprehensive, state of the art trading, risk management and settlement system for banks. It achieves straight through processing, from the dealer in the Front Office, through to the risk manager in the Middle Office, to the financial controller in the Back Office. Trinity brings together deal capture, decision support and risk management in one fully integrated trading system. It addresses all foreign exchange and money market requirements, and provides the necessary support for effective risk management.
Pricing and Transaction Capture
- Pricing screens
- On-screen deal blotters
- Commodities
- Foreign Exchange
- Money markets
- Fixed Income
- ‘What if Scenario’
Middle Office
- Trinity explorer
- Deal modelling
- Revaluation methods
- Exchange clearing services
- Confirmations
Cash Management
- Margin calculation
- Asset and liability management
- Treasury accounts
- Yield curve management
- Payments and settlements
Risk Management
- Market and credit data
- Static data modules
- VaR
- Historical data portfolio rollback
- Regulatory and compliance reports
- Mark-to-Market P/L
Operations Management
- Administration tools
- General ledger Interface
- Reconciliation
- Security and audit
- Functions
- Report Generation
Risk Management
Provides you with the knowledge to track, measure, evaluate and manage risks.
Streamline Processes
Maximises efficiency, improves processes, saves resources and enables decision making.
Compliance and Regulation
Ensures regulatory and accounting compliance through comprehensive tracking and auditing.