- FIS SECURITIES FINANCE TRADING AND COLLATERAL PLATFORM
Increase effectiveness with a big-picture view of your entire collateral asset pool
FIS® Securities Finance Trading and Collateral Platform empowers you to streamline and automate securities finance and collateral management processes from front to back. The solution provides a single platform for securities finance trading, inventory optimization and cross-product collateral management across the entire trading book including repo, securities lending, bilateral OTC, cleared and listed derivatives.
This modular collateral management system provides front-to-back trading and trade management, as well as gateways to established market infrastructure data providers and tri-party agents, CCPs and brokers. More than 70 standard adapters are maintained and available out of the box.How FIS empowers collateral management
Consolidate your view of global assets
A single, cross-product and cross-asset view to optimize collateral across business linesIncrease trading revenues
Front-to-back trading and trade management for repos, securities borrowing and lending, and syntheticsPlug into a state-of-the-art connectivity module
Easy integration with up- and downstream third-party systemsExplore Our Perspective
FIS Securities Finance Trading and Collateral Platform brochure
A unique and innovative solution that offers enterprise-wide collateral management, optimization and trading on a single platform which can be deployed on site or as cloud based.
Advantages of integrating repo, securities lending and collateral management article
Q & A with Rich Hochreutiner, Global Head of Collateral, Swiss Re, to understand his vision for integrating repo, securities lending and collateral management.
FIS Risk Services - Bilateral Initial Margin calculation product sheet
Developed with a Tier 1 partner bank, margin calculations from FIS allow you to get in front of the initial margin challenge.