Solutions for liquidity providers
TIGER develops comprehensive STP, reconciliation and post-trade solutions for real-time trade processing and client servicing across segments.
TIGER team builds solutions for banks to service institutional clients and the buy-side to manage post-trade processes with counter parties to reduce operational risk and costs in trading main asset classes.
Starting with STP connectivity to execution venues and prime brokers, TIGER software allow to reconcile trades in real-time at the point of execution to prevent operational risks from becoming a market risk. TIGER extends robust processing capabilities offering reporting and notifications provided real-time visibility across all venues in a single dashboard if required.
TIGER is open to provide additional benefits including best-practice trade workflows, reports and services designed to address the unique requirements of different trading strategies, fund structures, regulatory requirements and investor reporting needs.
How can we empower your solution?
- Fully customizable according to client needs
- Reduced operational risk through real-time processing
- No hidden costs to clients
- Adaptation of client’s messaging standards
- Full STP functionality
TIGER team works to provide main key features according to client’s request:
- Real-time low latency trade notifications and matching
- Integrated dashboards for all client activity
- Addresses simple as well as the most complex allocation mappings
- Manages the entire trade life cycle from execution to settlement
- Single point of integration to all ECNs, prime brokers and dealers