Download our e-book to understand how you can overcome traditional challenges with listed or exchange-traded derivatives.
Reconciling total equity for listed or exchange-traded derivatives (ETDs) is a critical process for financial institutions.
This process requires aggregating trade and position data from various brokers, exchanges, and central counterparties, often dealing with multiple data formats and inconsistent data feeds.
Furthermore, the high volume of data with legacy or internally-built reconciliation systems can lead to significant data management challenges that increase operational costs, expose the firm to financial and compliance risks, and limit scalability as the business grows.
Get your copy now and discover: