
Operations teams in securities finance face material challenges when managing basket Total Return Swaps (TRS) flows. TRS baskets are reshuffled on a daily basis, and the number of economic and non-economic parameters are vast. Manual cash flow verification has become not just inefficient but a material risk to financial institutions.
The legal confirmation process is outdated and manual. While new trades are manually confirmed on paper, subsequent reshuffles are often unchecked. In the absence of standardized industry-wide trade reconciliation, cash flow reconciliation remains the sole method for identifying PNL discrepancies. Market-wide, there is a need for a comprehensive solution which manages risk and improves controls.
Wematch’s solution provides a transformative front-to-back solution, which streamlines and centralizes cash flow management via three core features:
Wematch’s cash flow management solution enables operations professionals to save time, reduce risks, and improve operational efficiency. It’s time to move away from manually investigating cash breaks. Embrace automation and take control of your settlement process – speak to our team today.
Book a 15-min demo to learn how our platform can help you.
Tailored matching, smart negotiation and workflow tools for capital market operators.