Solutions
- STP Capital Markets
- Global Front-Office
- Global Market & Credit Risk Management
- Global Back-Office
- Global Operational Risk Management
- Central Banking
- Custom Solutions
- ASP Services
Market Focus
- Commercial/Investment Banks
- Central Banks
- Corporate Treasuries
- Asset Management Solution
- Other Entities
Middle Office
Findur’s risk management solution resides at the mid-office level of the total transaction and without any doubt surpasses all others. Increasingly recognized as an industry leader in the mid-office risk and credit management area, Findur provides all the tools you could need to ensure the profitable conclusion of a trade.
From the middle-office, you can access the tools to calculate forward price curves, correlations, VaR (value-at-risk), PaR (profit at risk) and any other configuration you desire. You can also store historical prices automatically via a live price feed.
- Data Available to All Participants
With middle-office functions now tied in with your initial deal capture through to the end-of-day position reporting and beyond, you need not take precious time to cut and paste from a spreadsheet to communicate your every move. Just hit the “save” button. Best of all, your business unit managers, energy traders and accounting officers can all work on the same page with minimum effort on your part. You can provide an analytic snapshot of all trades currently in progress to all who need to know. - Secure. Reliable. Extendable.
Evaluating risk across markets, Findur provides a secure, reliable and extendable straight-through exception-based processing (SteP) environment for trading, operations, compliance and workflow management across derivatives, fixed income securities, FX, money markets, base and precious metals, energy, and other commodities.
Accuracy in Calculation of Risk
Risk evaluations, including VaR, are based on full valuations, not approximations. Computations performed at the instrument level, not with static, unintelligent proxy cash flows, capturing all market-specific and structuring related activities. This enables accurate calculations of exposures, sensitivities, and “what if” risk analytics, no matter how complex. That results in a far superior risk profile for your bottom line.
OpenLink market solutions and tools provide the real-time information you need to assess risk and see trading opportunities that other applications may miss. OpenLink gives traders the power to trade smarter, risk managers to monitor with confidence, and operations professionals to manage efficiently.

