Collateral Optimisation
To have an efficient process which at the same time also contributes positively to the P&L, the starting point is the Operating Model. The execution desk or portfolio manager need to have full transparency on the cost of the trade, to be able to make a decision. Collateral Management is optimising the long box, making best use of the collateral available and stress testing the collateral to document the quality. With the Axxsys Collateral Optimisation service you will move away from viewing collateral management as admin.