As part of the FIS® Cleared Derivatives Suite, FIS CD Brokerage Manager provides broker-dealers with leading-edge technology and flexibility in reporting and workflow. This advanced solution ensures that your middle-office functions and applications can automate the setup of data from external sources, as well as prepare calculators and daily data reconciliation so you can confidently enter your monthly billing cycle. With a golden source of static data, automated break management and stringent control capabilities, you can improve your decision-making and optimize your trade flows.

How FIS empowers operations and processing

Discover a brokerage processing solution that connects the middle and back offices with the brokerage process

Strengthen the clearing process

A seamless connection between brokerage and the middle and back offices ensures stable post-trade clearing

Improve efficiency and regulatory accountability

Operations, brokerage settlement and reconciliation on a single platform for unmatched efficiency and accountability

Benefit from increased transparency

Future-proofs your brokerage operations and reduces your total cost of ownership (TCO)

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