194 results
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Backstop Solutions offers cloud-based productivity solutions for institutional investment firms and alternative asset managers. Learn more about Backstop
Backstop Solutions exists to help the institutional and alternative investment industry make the most of their time. Every minute matters in our industry, and we want to help our clients replace their complicated task lists with streamlined business processes. We do this by bringing best-in-class, cloud-based productivity technology to asset managers and allocators alike, helping them better raise and retain capital, perform research and portfolio management, and service their key stakeholders. Learn more about Backstop
Backstop Solutions exists to help the institutional and alternative investment industry make the most of their time. Every minute matters in our industry, and we want to help our clients replace their ...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Configure data access, establish signatory rights, protect with ongoing screening, prevent fraud, and reduce risk with AP controls Learn more about AP Fraud & Tax Compliance
Safeguard against fraud loss and strengthen internal processes with enterprise-grade financial controls. Tipalti provides granular controls over payables and payment operations to increase security of sensitive financial data, ensure ongoing OFAC and FATCA compliance, and improve management oversight to key AP processes. Learn more about AP Fraud & Tax Compliance
Safeguard against fraud loss and strengthen internal processes with enterprise-grade financial controls. Tipalti provides granular controls over payables and payment operations to increase security of ...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
A financial platform that uses a unique algorithm to help you optimize your asset mix during uncertain investment environments. Learn more about BlackSwan
BlackSwan accurately models financial instruments by taking into consideration extreme behaviors to recommend the best trade-off between risk and return. Built based on more than 20 years of combined academic research aimed at finding an improvement to the general Efficient Frontier algorithm, BlackSwan has superior accuracy: it uses non- Gaussian distributions to help you optimize your asset mix during uncertain investment environments. Learn more about BlackSwan
BlackSwan accurately models financial instruments by taking into consideration extreme behaviors to recommend the best trade-off between risk and return. Built based on more than 20 years of combined...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
LogicManager is an all-in-one ERM/GRC platform that serves customers across all industries. Learn more about LogicManager
LogicManager is an unparalleled risk management platform that is consistently placed highest in ability to execute on Gartner's Magic Quadrant reports and recognized as a leader by the Forrester Wave Report. Along with offering best-in-class software, LogicManager offers unlimited, complimentary access to their expert team of advisors. Learn more about LogicManager
LogicManager is an unparalleled risk management platform that is consistently placed highest in ability to execute on Gartner's Magic Quadrant reports and recognized as a leader by the Forrester Wave R...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Cloud-based digital risk management platform that uses AI to assist firms with fraud prevention, identity, rules and analytics. Learn more about Fraud.net
Fraud.net is the leading fraud prevention platform for enterprises in the financial services and digital commerce sectors. Our unified algorithmic architecture combines AI & deep learning, Collective intelligence, Rules-based decision engines, and Streaming analytics to detect fraud in real-time, at scale. Fraud.net is the only cloud-based "glass-box" system, offering transparent solutions to help organizations reduce risk and optimize business processes. Contact us today for a FREE TRIAL. Learn more about Fraud.net
Fraud.net is the leading fraud prevention platform for enterprises in the financial services and digital commerce sectors. Our unified algorithmic architecture combines AI & deep learning, Collective i...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Corporater empowers medium and large organizations to govern, manage and assure Performance, Risk, and Compliance on a single platform. Learn more about Corporater Business Management Platform
Corporater is a software solution that integrates GRC with how customers run their business through measuring, managing, and driving performance. Corporater is a highly flexible solution that can be configured for a wide variety of business models. Corporater helps medium and large enterprise customers tell the whole GRC and performance story, where decisions are supported by analytics, and can be placed into execution through actions and projects. Suitable for medium and large enterprises. Learn more about Corporater Business Management Platform
Corporater is a software solution that integrates GRC with how customers run their business through measuring, managing, and driving performance. Corporater is a highly flexible solution that can be co...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Real-time, risk-driven lifecycle management platform with full ownership of policy automation, increased efficiencies, and reduce risk. Learn more about KYC Portal
The system is fully focused on automating the back-office of KYC and due diligence processes. It starts off from the aspect that it allows the client to fill in directly and upload all necessary docuements related to the entire on-boarding process. KYCP also automates the calculation of risk, based on pre-defined dynamic parameters which allows for instant automation on how the application should be handled. KYC Portal is a fully dynamic, risk-driven Client Lifecycle Management platform. Learn more about KYC Portal
The system is fully focused on automating the back-office of KYC and due diligence processes. It starts off from the aspect that it allows the client to fill in directly and upload all necessary docuem...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
AccessPay connects your back-office system to 16,000 banks globally, intelligently automating payables, receivables and cash visibility Learn more about Corporate-to-Bank Integration Platform
AccessPay helps finance and cash management professionals get the most out of their transformation projects quickly by taking the pain of connecting their back-office systems to any global bank and automating the processes in between. It intelligently automates payments submissions, direct debit collections, and statement retrievals for more efficient, effective, and secure accounts payable, receivable and cash management. Learn more about Corporate-to-Bank Integration Platform
AccessPay helps finance and cash management professionals get the most out of their transformation projects quickly by taking the pain of connecting their back-office systems to any global bank and aut...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
GTreasury is the leading innovator of integrated SaaS treasury and risk management solutions for the digital treasurer/organization. Learn more about Treasury Management System
GTreasurys digital TMS platform is your one, simple solution to treasury management. Use GTreasury to create a single source of truth for cash, payments and risk activities, and feel your confidence grow. Its software, its a service, its integrated, no matter which capabilities you use now or add later. Learn more about Treasury Management System
GTreasurys digital TMS platform is your one, simple solution to treasury management. Use GTreasury to create a single source of truth for cash, payments and risk activities, and feel your confidence gr...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
QUO

QUO

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QUO is a SaaS multi-custodian trading platform built for asset & wealth managers. QUO enables live trading of both listed & OTC assets Learn more about QUO
Trading & real-time portfolio aggregation platform for asset & wealth managers - QUO brings game-changing digitization to traditionally manual multi Bank setup - taking client experience to the next level. QUO enables Wealth Management firms and Private Banks to give their clients the freedom to trade any security listed anywhere in the world including bank-issued OTC securities online. SaaS based software requires zero installation and seamlessly integrates with most Core Bank systems Learn more about QUO
Trading & real-time portfolio aggregation platform for asset & wealth managers - QUO brings game-changing digitization to traditionally manual multi Bank setup - taking client experience to the next l...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
The leader in identifying and mitigating risk in business-critical spreadsheets across an organization. Learn more about ClusterSeven
Nearly 90% of all business-critical spreadsheets contain an error. Are you protected against that risk? ClusterSeven is the leader in spreadsheet and EUC (End User Computing) risk management. Easily and efficiently capture and maintain an inventory of the files your organization relies upon and monitor whos making changes, helping you meet audit, regulatory, and compliance requirements and prevent problems before they impact your enterprise. Learn more about ClusterSeven
Nearly 90% of all business-critical spreadsheets contain an error. Are you protected against that risk? ClusterSeven is the leader in spreadsheet and EUC (End User Computing) risk management. Easily a...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
From payments to credit to fraud protection, PayPal Commerce Platform helps you meet your customers where they are.
Our powerful network securely processes more than 1 billion transactions each month. And since our fraud tools get smarter with each transaction, we can help protect your business and your customers against fraud with the unmatched experience, global reach, and advanced fraud protection technology of PayPal.
Our powerful network securely processes more than 1 billion transactions each month. And since our fraud tools get smarter with each transaction, we can help protect your business and your customers ag...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
A programming environment for algorithm development, data analysis, visualization, and numerical computation.
A programming environment for algorithm development, data analysis, visualization, and numerical computation.
A programming environment for algorithm development, data analysis, visualization, and numerical computation....
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Technical computing system that provides tools for image processing, geometry, visualization, machine learning, data mining, and more.
Technical computing system that provides tools for image processing, geometry, visualization, machine learning, data mining, and more.
Technical computing system that provides tools for image processing, geometry, visualization, machine learning, data mining, and more....
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Comprehensive portfolio analytics and cutting-edge macro scenario stress testing for financial advisors and asset managers.
HiddenLevers is a risk technology platform providing next-level applications for the wealth management space. With over $500 billion in assets on our platform, HiddenLevers offers client-facing and home office solutions aimed at executives, financial advisors, asset managers, and portfolio managers. The cloud-based platform includes a cutting-edge macro-scenario library portfolio stress testing, model construction, investment proposal generation, and enterprise risk and revenue monitoring.
HiddenLevers is a risk technology platform providing next-level applications for the wealth management space. With over $500 billion in assets on our platform, HiddenLevers offers client-facing and hom...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Carta is an equity management platform for companies, investors, and employees.
Carta makes it easier for equity holders in private companies to track and manage ownership, and run their back office functions. Carta was founded in 2012, and started by helping private companies manage their cap tables. Since then, Carta's services have expanded to include 409a valuations, ASC 820 valuations, fund administration, and many more. Carta is trusted by 14,000+ companies, 800,000+ unique stakeholders, and have valued over $575B in private assets.
Carta makes it easier for equity holders in private companies to track and manage ownership, and run their back office functions. Carta was founded in 2012, and started by helping private companies ma...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Integrated risk management software that identifies, assesses, responds to, and monitors your enterprise risks.
HighBond centralizes and simplifies core risk management activities in a single, integrated platform across the end-to-end risk process. The software also reduces subjectivity by seamlessly integrating risk indicators into the assessment process. Plus it helps distributed teams identify risks and aggregate risk assessments through remote workshops. As a result, risk management spends less time on process administration and more time effecting change.
HighBond centralizes and simplifies core risk management activities in a single, integrated platform across the end-to-end risk process. The software also reduces subjectivity by seamlessly integrating...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Fraud detection and prevention API, with real-time data enrichment, powerful scoring engine and whitebox machine learning system.
SEON reduces risk and boost conversions for highly targeted verticals such as banking, lending, FX and crypto trading, iGaming and eCommerce. Integrate fraud prevention into your platform as individual modules for multi-layered security or as a whole end-to-end system. Leverage real-time data enrichment, device fingerprinting, digital footprint analysis and a Machine Learning engine to flag fraudsters, reduce user friction, and control risk thresholds to grow your business safely.
SEON reduces risk and boost conversions for highly targeted verticals such as banking, lending, FX and crypto trading, iGaming and eCommerce. Integrate fraud prevention into your platform as individual...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Solution for risk-based cash flow forecasting. Using Monte Carlo simulation, make decisions with greater confidence and visibility.
RISKTURN is an innovative cloud solution for risk-based capital budgeting. It presents a simple and intuitive interface to build probabilistic business forecast in just 5 steps. The powerful model integrates financial and time variables of uncertainty in a cash flow forecast. Then, running a Monte Carlo simulation, it delivers a complete set of probabilistic financial indicators for single initiative or portfolio (e.g. probability to reach profitability target, VaR, CFaR, sensitivity...).
RISKTURN is an innovative cloud solution for risk-based capital budgeting. It presents a simple and intuitive interface to build probabilistic business forecast in just 5 steps. The powerful model inte...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Automated income verification of your applicant to make the best decisions as a property manager or lender.
The Closing Docs is an automated income verification tool that allows property managers and lenders to make the best approval decisions. Using The Closing Docs enables property managers and lenders to expedite the review and approval process, while increasing the accuracy of their applicant's reported income.
The Closing Docs is an automated income verification tool that allows property managers and lenders to make the best approval decisions. Using The Closing Docs enables property managers and lenders to ...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Audit, Risk & Compliance solutions for the Financial & Healthcare sectors. Fully configurable to suit organizations of all sizes.
ViClarity is an award winning provider of Audit, Risk & Compliance management solutions to the Financial and Healthcare sectors. ViClarity is a global organization with offices in Boston, Massachusetts, Ireland and the UK. ViClarity is an innovative platform that allows you to track and manage all of your audit, risk and compliance in one system. The ViClarity solution is fully configurable meaning you can build your own checklists from your existing Excel documents or manual risk registers.
ViClarity is an award winning provider of Audit, Risk & Compliance management solutions to the Financial and Healthcare sectors. ViClarity is a global organization with offices in Boston, Massachusetts...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Shows many possible outcomes and how likely they are so you can judge which risks to take. Allows for best decision under uncertainty
@RISK performs risk analysis using Monte Carlo simulation to show you many possible outcomes in your spreadsheet model and how likely each are to occur. It mathematically and objectively computes and tracks many different possible future scenarios, then tells you the probabilities and risks associated with each different one. This means you can judge which risks to take and which ones to avoid, allowing for the best decision making under uncertainty.
@RISK performs risk analysis using Monte Carlo simulation to show you many possible outcomes in your spreadsheet model and how likely each are to occur. It mathematically and objectively computes and ...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Spreadsheet-based; for predictive modeling, forecasting, simulation, and optimization for insight into the factors affecting risk.
Spreadsheet-based; for predictive modeling, forecasting, simulation, and optimization for insight into the factors affecting risk.
Spreadsheet-based; for predictive modeling, forecasting, simulation, and optimization for insight into the factors affecting risk....
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
For institutional investors - return and risk estimation, portfolio construction, strategic asset allocation, and risk management.
The Windham Portfolio Advisor (WPA) is a complete asset allocation, risk management, and simulation platform designed to assist the most sophisticated investment professionals in the construction of efficient portfolios. Perform complex portfolio analysis using the WPA's intuitive workflow and implement the latest portfolio construction innovations into your investment process with support from Windham's experienced client servicing team.
The Windham Portfolio Advisor (WPA) is a complete asset allocation, risk management, and simulation platform designed to assist the most sophisticated investment professionals in the construction of ef...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Portfolio management solution that helps businesses manage compliance, modeling, scenario simulation, and workflow automation.
Portfolio management solution that helps businesses manage compliance, modeling, scenario simulation, and workflow automation.
Portfolio management solution that helps businesses manage compliance, modeling, scenario simulation, and workflow automation....
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Solutions for Risk, Performance, and Investor Reporting
The Northstar platform helps hedge funds manage risk, evaluate performance, and effectively communicate with investors. Northstar is not just software, it is a service. At Northstar, our experts will fully integrate your back office systems with our risk and performance platform. Northstar is faster, easier to maintain and more accurate, saving you time and money. This is truly software as a service.
The Northstar platform helps hedge funds manage risk, evaluate performance, and effectively communicate with investors. Northstar is not just software, it is a service. At Northstar, our experts will ...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Use AI plus payment behavior and financial commitments data, financial agency sources & credit insurers, to assess risk & reduce debt.
Augmented Cash is a global accounts receivable SaaS solution that helps manage financial risk and reduce bad debts. It combines payment behavior and financial commitments on an account to better assess customer risk. It integrates with external financial information sources such as CreditSafe, Ellisphere, Coface, or credit insurers to give a full picture of financial risk. It uses AI to accelerate cash collection and improves dispute management. Includes analytics and cash forecasting.
Augmented Cash is a global accounts receivable SaaS solution that helps manage financial risk and reduce bad debts. It combines payment behavior and financial commitments on an account to better assess...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Financial risk management solution that helps businesses to manage risks through a Monte Carlo simulation, risk analysis tools & more.
Financial risk management solution that helps businesses to manage risks through a Monte Carlo simulation, risk analysis tools & more.
Financial risk management solution that helps businesses to manage risks through a Monte Carlo simulation, risk analysis tools & more....
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
GPS solution that helps small lenders and BHPH dealers manage auto loans with alerting, detailed histories, and reference validation.
Web and mobile-based, fleet management platform that helps small lenders and BHPH dealers manage auto loans with alerting, detailed histories, and reference validation using GPS tracking system.
Web and mobile-based, fleet management platform that helps small lenders and BHPH dealers manage auto loans with alerting, detailed histories, and reference validation using GPS tracking system....
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
With SmartRisk, advisors can analyze portfolio risk and easily communicate with clients to help them avoid costly mistakes.
SmartRisk can help you move prospects to the planning process and motivate clients to make portfolio changes. Retain clients during a down market and help prevent clients from making costly investment mistakes. Showcase and market your expertise. Clients are often blind to market risk and typically dont have accurate downside expectations either too conservative or too reckless, leading to suboptimal investment allocations. With SmartRisk, advisors can analyze portfolio risk.
SmartRisk can help you move prospects to the planning process and motivate clients to make portfolio changes. Retain clients during a down market and help prevent clients from making costly investment ...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Employee Relations software solution that substantially reduces the company's risk and exposure to litigation.
Positive Corrective Action is an Employee Relations software solution. Proven Record to improve efficiencies and reduced risk and exposure to litigation. Has a positive impact on the companies culture by providing consistency and fairness for the entire organization. Designed to communicate seamlessly with most major Human Resource Software packages, it protects and enhances your significant investment in these products.
Positive Corrective Action is an Employee Relations software solution. Proven Record to improve efficiencies and reduced risk and exposure to litigation. Has a positive impact on the companies cultur...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Cloud-based tool that helps firms optimize cash flows, standardize credit policies, monitor financial risks via real-time data analysis
DNBi is advanced business credit risk management software that allows users to automate credit decisions, standardize the credit review processes, conduct advanced portfolio and account analysis, and manage your account portfolio more effectively. It also offers an online credit application and a Salesforce.com app that allows sales teams to submit and receive instant credit decisions.
DNBi is advanced business credit risk management software that allows users to automate credit decisions, standardize the credit review processes, conduct advanced portfolio and account analysis, and m...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
GenSight is a software platform to enhance the innovation process in large global and mid-sized corporations.
GenSight software platform covers the entire innovation process, including: Idea Management, Project/Product Management, Governance, Finance, Portfolio, Resource Management & Strategic Planning. Improved cross functional working gets the best products to market more quickly, with less risk and less cost. Software functionality is configurable and tailored to specific client needs. Available via the cloud or installed on-premise.
GenSight software platform covers the entire innovation process, including: Idea Management, Project/Product Management, Governance, Finance, Portfolio, Resource Management & Strategic Planning. Improv...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Xcellerator provides spreadsheet review, analysis and comparison.
Xcellerator provides spreadsheet review, analysis and comparison. With spreadsheet usage prevalent across every enterprise, Xcellerator is being used by Fortune 100 companies to reduce spreadsheet remediation processes from months to weeks.
Xcellerator provides spreadsheet review, analysis and comparison. With spreadsheet usage prevalent across every enterprise, Xcellerator is being used by Fortune 100 companies to reduce spreadsheet reme...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Cross asset derivatives, treasury and securities system. Front to back solutions.
Cross asset derivatives, treasury and securities system. Front to back solutions.
Cross asset derivatives, treasury and securities system. Front to back solutions....
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
SaaS solution for tracking compliances (Corporate Secretarial, Finance, Tax, HR) globally across legal entities.
A SaaS platform for defining and tracking global corporate compliances (Corporate Secretarial, Finance, Tax, HR) across legal entities. The proprietary rule-based algorithm and engine offers a powerful and highly configurable set of modules that bring increased accountability and management visibility. Key features include: Dashboard and Analytics, Compliance Calendar, Virtual Compliance Room, Organogram and our proprietary knowledge repository Compliancepedia.
A SaaS platform for defining and tracking global corporate compliances (Corporate Secretarial, Finance, Tax, HR) across legal entities. The proprietary rule-based algorithm and engine offers a powerful...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Kyriba provides cloud-based solutions designed to optimize cash management, risk management, payments, and working capital strategies.
Kyriba empowers CFOs and their teams to transform how they activate liquidity as a vehicle for growth and value creation, while also protecting against financial risk. Based on a secure, highly-scalable SaaS platform that leverages artificial and business intelligence, Kyribas pioneering Active Liquidity Network connects internal applications for treasury, risk, payments and working capital, with vital external sources such as banks, ERPs, trading platforms and market data providers.
Kyriba empowers CFOs and their teams to transform how they activate liquidity as a vehicle for growth and value creation, while also protecting against financial risk. Based on a secure, highly-scalabl...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
IHS Markit's iLEVEL platform is the industry leading cloud-based portfolio management platform for private capital investors.
IHS Markit's iLEVEL platform is a cloud-based portfolio management solution that enables private capital investors to seamlessly evaluate and report on the performance of their portfolios. iLEVEL simplifies the process of collecting data from portfolio companies and fund investments, aggregating and storing it in a centralized repository, where firms can generate customized analytics and reports in real time.
IHS Markit's iLEVEL platform is a cloud-based portfolio management solution that enables private capital investors to seamlessly evaluate and report on the performance of their portfolios. iLEVEL simpl...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
GRC solution that helps monitor bank-wide data to normalize critical risks and the potential negative effects on company's performance.
SRA Watchtower is a SaaS-based Enterprise Risk Intelligence and Collaboration Platform that aggregates, integrates, normalizes, and reports all critical risk and performance indicators on a continuous basis. SRA Watchtower provides Executives and Board Members with real-time access to company-wide risk performance data, integrated in a way so as to strategically optimize risk strategy to the bottom line.
SRA Watchtower is a SaaS-based Enterprise Risk Intelligence and Collaboration Platform that aggregates, integrates, normalizes, and reports all critical risk and performance indicators on a continuous ...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Full compliance platform for financial institutions that allows customer onboarding, ID verification, data validation and monitoring.
Ondato compliance platform is a must have solution for the financial institutions that enables to automate the customer boarding (private and corporate), KYC data gathering and monitoring (ODD). It saves recourses on the compliance and data management and also enables remote customer onboarding real time online. ID verification solutions offered by Ondato supports both - fully independent self boarding with liveness test and Live video customer boarding.
Ondato compliance platform is a must have solution for the financial institutions that enables to automate the customer boarding (private and corporate), KYC data gathering and monitoring (ODD). It sav...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Counterparty, credit, contract & collateral risk management solution for risk managers, traders, and credit risk officers.
Counterparty, credit, contract & collateral risk management solution for risk managers, traders, and credit risk officers.
Counterparty, credit, contract & collateral risk management solution for risk managers, traders, and credit risk officers....
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
AgenaRisk uses the latest developments from the field of Bayesian AI and probabilistic reasoning to model complex, risky problems.
AgenaRisk uses the latest developments from the field of Bayesian AI and probabilistic reasoning to model complex, risky problems and improve how decisions are made. You can use AgenaRisk to make predictions, perform diagnostics and make decisions by combining data and knowledge about complex causal and other dependencies in the real world. Our clients use AgenaRisk to model operational risk, systems safety & reliability, health risk, cyber-security risk and strategic financial planning.
AgenaRisk uses the latest developments from the field of Bayesian AI and probabilistic reasoning to model complex, risky problems and improve how decisions are made. You can use AgenaRisk to make pred...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Financial risk management solution that helps businesses manage assets and complexities involved with derivative trading.
Numerix is the leader of innovative capital markets technology solutions and real-time intelligence capabilities for trading and risk management. Committed to the exploration and adoption of latest technologies, Numerix is dedicated to driving a more open, fintech oriented, digital financial services market. Built upon a foundation of deep practical knowledge, experience and IT understanding, Numerix helps its users reimagine operations, modernize business processes and capture profitability
Numerix is the leader of innovative capital markets technology solutions and real-time intelligence capabilities for trading and risk management. Committed to the exploration and adoption of latest tec...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Analytical tools for the valuation of financial instruments including interest rate derivatives, foreign exchange, commodities and more
Resolution provides tools for valuation, risk management and hedge accounting of derivatives and other financial instruments. Coverage includes interest rate swaps, caps, floors, swaptions, fx options, commodity swaps & options and equity options. Use pre-built calculators, build your own spreadsheets or direct access via SDK. A web-based solution for independent valuation, treasury management and hedge accounting is also available. Free trial is available for download.
Resolution provides tools for valuation, risk management and hedge accounting of derivatives and other financial instruments. Coverage includes interest rate swaps, caps, floors, swaptions, fx options,...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Cloud-based financial risk management solution that lets businesses manage portfolio and analyze stock values.
Cloud-based financial risk management solution that lets businesses manage portfolio and analyze stock values.
Cloud-based financial risk management solution that lets businesses manage portfolio and analyze stock values....
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
This software utilizes historical data to determine Buy, Hold, and Sell prices to help you know when to invest and when to pull.
This software utilizes historical data to determine Buy, Hold, and Sell prices to help you know when to invest and when to pull.
This software utilizes historical data to determine Buy, Hold, and Sell prices to help you know when to invest and when to pull....
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Stock investing solution that helps businesses monitor digital signals, timings of trade markets, mean-variance analysis, and more.
Achieve perfect market timing and portfolio diversity using the PSS Digital Portfolio Theory.
Achieve perfect market timing and portfolio diversity using the PSS Digital Portfolio Theory....
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Excel-based financial risk management solution that helps farmers with fixed costs, scale of operation, yield estimates and more.
Excel-based financial risk management solution that helps farmers with fixed costs, scale of operation, yield estimates and more.
Excel-based financial risk management solution that helps farmers with fixed costs, scale of operation, yield estimates and more....
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Financial risk management tool that helps manage account-specific compliance issues, track ticket trading, and maintain audit history.
Perform For Private Clients helps you to analyze your portfolio and adapt to an ever changing market. Our powerful portfolio management tool is designed specifically for managers in the private wealth management segment of the bond industry. We provide decision functionality for trading in multiple portfolios; compliance; the ability to drill down from portfolios to bond holdings (and back; and flexibility to sort accounts in a variety of ways.
Perform For Private Clients helps you to analyze your portfolio and adapt to an ever changing market. Our powerful portfolio management tool is designed specifically for managers in the private wealth ...
  • Credit Risk Management
  • Loan Portfolio Management
  • Operational Risk Management
  • Portfolio Modeling
Features include a schedule, timeline, portfolio bubble chart, summarizing tool, and financial analysis.
Features include a schedule, timeline, portfolio bubble chart, summarizing tool, and financial analysis.
Features include a schedule, timeline, portfolio bubble chart, summarizing tool, and financial analysis....