Financial Commodity Trading and Risk Management Solutions
Covering the full trading lifecycle from deal capture, position keeping, risk management to settlement, our solutions are designed to help you increase profit margins from your derivatives trading.
Brady’s financial commodity and trading risk management solutions are flexible and can be integrated with your existing IT platform or used as standalone products.
- Streamline workflows across your entire trade lifecycle for increased efficiency and cost control
- Devise smart hedging strategies with real time view of your commodity pricing, position, cash flows and P&L
- Mitigate market volatility with what-if risk matrices and by assessing VaR across portfolio’s
- Manage counterparty risks utilising credit lines, initial and variation margins
- Gain competitive advantage by employing custom price models
- Comply with regulatory reporting – international and local: MIFID II, EMIR, Dodd Frank and Central Counterparty Clearing
- Interface with other business critical systems such as exchanges and accounting related for effortless data sharing