What Should You Look for in a Buy-Side Reconciliation Solution?
Know the 10 must-have capabilities for investment managers to achieve efficient reconciliation. Discover if your solution:
Provides scalability and transparency across the firm
Expedites exception management and research processes
Accelerates investigations and improves transparency
Reduces risk with immediate exception resolution
Enhances speed and accuracy – regardless of volume and complexity
Improves team productivity, cross-team collaboration and efficiency
Learn more in our eBook.
Electra provides award-winning post-trade operations workflow solutions and data services for reconciliation, trade matching, settlement notification and wire processing, and fee billing to global institutional buy-side firms. Asset managers, hedge funds, fund administrators and outsourced service providers use Electra solutions across their middle and back offices to reduce and manage risk, improve operational efficiencies, accelerate fee billing and revenues, and enhance counterparty and investor experiences. Firms can quickly scale to business demands and gain value from Electra’s innovative, patented technology across the post-trade process. Learn More