Configure and maintain CLO’s, reconcile with trustees, & generate hypothetical portfolio simulations.
Offers tools for the execution of pre-settlement and settlement activities.
Manage deal lifecycle data and interactions in a single integrated system from pre-acquisition to conclusion.
Maintain position activity and monitor performance with robust financial reporting.
Manage the capital raising process from long term prospect to closed.
Allows user to process loan, bond and equity trade tickets at all stages of the trade lifecycle.
Optimize account management, capital calls, distributions and account statements.
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