Custody Management Software
Safekeeping assets and minimising risks with value-added client servicing
Constant repositioning in a competitive value chain
The investment industry has witnessed fast-paced globalisation, resulting in the diversification of core activities across the ecosystem of participants. To sustain profitability in a time of lower operational margins, technological advances and automation have become the new pillars of a more comprehensive and streamlined approach to client servicing.
Advances in technology such as DLT, ISO 20022 and fintechs are supporting custodians’ digital transformation in the post-trade processing arena, requiring strong positioning to future-proof their business growth.
This transformation will ensure a comprehensive offering that responds to the front- and middle-office needs of clients while streamlining back-office activities. The future of asset servicing remains challenging in the face of fragmented securities services. Keeping activities client-focused by leveraging technology will empower custodians to provide a holistic value proposition.
THEY TRUST US
“The new securities trading platform will enhance both operational efficiency and customer experience simultaneously. Customers’ demands are evolving at the speed of light; ease and convenience of real-time access to markets are even more crucial today. Our new Securities Services platform will be a robust and efficient gateway into real-time trading in financial markets across the world. This will streamline overall management of our securities operations whilst offering an enhanced experience for our investors.”
OLYMPIC Banking System for Custodians
OLYMPIC Banking System delivers to Custodians the solution that best fits and responds to their clients’ needs:
Ensure the safekeeping of stocks, bonds, securities and commodities; maintain and revalue positions against real-time prices; support deposits and withdrawals between transfer agents and central securities depositaries.
Produce securities and cash statements as well as fee and commission reports.
Manage custody fees based on market, security, and deposit location. Automate fee management for better customer servicing.
Cash & forex
Perform foreign exchange transactions, maintain currency/cash bank accounts, cash deposits and withdrawals.
All processes are compliant with local and international regulatory requirements, including PSD2 and FATCA.
Easily streamline fund custody and administration to optimise entire process lifecycles.
Integrated post-trade processing
Avoid double input and support large volumes of processing, leaving portfolio managers and brokers free to focus on investment.
Clearly identify securities placed as collateral: repos, pledges for loans, securities lending, and more.
Corporate actions & income distribution
Automate the processing of voluntary/involuntary corporate actions on securities held: stock dividends, splits, mergers, tender offers, bond calls, etc.
If your custody function is outsourced, cash and security positions are automatically received and updated in your entity in real time.
Omnichannel digital access to your reports, statements and portfolios through a secure online portal.
Manage clients’ instructions, corporate events through voting proxy rights.