Consolidate multiple asset classes on a single accounting and reporting platform.

MAXIMIS is an investment accounting and reporting solution designed to meet the regulatory and management reporting needs of large finance and insurance companies and public pension funds. With comprehensive support for domestic and international securities trading, including derivatives, MAXIMIS supports investment operations with comprehensive functionality and data access capabilities spanning the investment process, from portfolio analysis to trade processing, multi-currency accounting, regulatory reporting and more.

A single, consolidated book of record for all asset types:  MAXIMIS supports derivatives, syndicated loans, mortgage loans and distressed debt across your entire enterprise, eliminating the need for multiple databases with corresponding data redundancies, gaps and laborious reconciliations. 

A comprehensive accounting and reporting system: The solution incorporates multiple accounting methodologies and reporting levels, fully auditable data and robust multi-currency processing.

Real-time, two-way global market connectivity: Exchange data reliably with external sources. 

Scalable and flexible architecture: Adapt to present and future business needs with flexible delivery options, including license and ASP.