As part of our middle-office podcast series, we hosted a podcast to discuss what clients need in a treasury management platform, and how incorporating real-time data and a range of middle-office operational services into the solution can help optimize returns.
Treasury management includes cash and foreign exchange management, financing leverage, collateral and exposure management—high middle-office functions that are secondary to primary trading in a portfolio but can have a meaningful impact on investment returns. Clients need middle-office operational services to manage things like payments processing, wires, trade matching and corporate actions management. Choose a treasury management platform that can help you verify accounting and position data, and use it to optimize ROI. SS&C combines those functions into a single platform, and manages and verifies the quality of the data we supply to clients.
Cash management is an important part of any treasury management solution. Clients need real-time data and direct feeds, as well as customizable views. Data flexibility allows clients to build their own displays to create something intuitive and useful to them. SS&C’s scalable platform receives data constantly, meaning that even the largest clients can quickly build reports using data from thousands of accounts and tens of thousands of trades each day.