Manage Collateral Exposures
and Margin Requirements
With SS&C, your collateral solution will evolve as market demands and regulations change ensuring you are always kept up to date.
7500 +
Calls calculated per day across
70 +
OTC product types
300
Custodians & banks connected to SWIFT
Minimize Operational and Counterparty Risk
Efficiently manage both initial and variation margin exposure using securities and cash.
Scalable Solution
Ensure collateral management is able to react to market events and increased volumes.
Stay Current
Keep up to date with regulatory requirements such as Uncleared Margin Rules (UMR), Form PF and EMIR Refit.
Enhanced Security
Move cash and securities pledges via secure dedicated SWIFT platform for both third party and tri-party allocation methods.
Featured Resource
Minimize operational and counterparty risks along with efficiently managing both initial and variation margin exposure using securities and cash.