Best Calc fellow Alternatives in 2024

Find the top alternatives to Calc fellow currently available. Compare ratings, reviews, pricing, and features of Calc fellow alternatives in 2024. Slashdot lists the best Calc fellow alternatives on the market that offer competing products that are similar to Calc fellow. Sort through Calc fellow alternatives below to make the best choice for your needs

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    AlternativeSoft Reviews
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    Since its establishment in 2005, AlternativeSoft has streamlined the process of fund selection and portfolio construction for institutional investors. Our alternative investment analytics platform is designed to empower users, creating a personalized investment universe guided by cutting-edge analytics. Data integration is effortless, with compatibility from Bloomberg, Morningstar, Albourne, HFR, EurekaHedge, withintelligence, Preqin and Refinitiv. Users can quickly: - Navigate manager risk/return with over 3000 statistics on funds - Define your funds' investible universe with powerful screening solutions - Track and analyse fund exposures - Construct, optimise and manage portfolios - Perform due diligence on hedge funds - Reporting on funds with powerBI or Excel API - 500'000 mutual funds, 30'000 hedge funds, 5'000 raising private equity funds and determine which ones are the best With a total combined AuM over $1.5tn worldwide, some of the world’s largest pension funds, fund of funds, family offices, private banks, endowments, foundations, wealth managers and advisers trust AlternativeSoft to identify and analyse multi-asset class portfolios of hedge funds, mutual funds and private equity funds.
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    Allvue Reviews

    Allvue

    Allvue Systems

    5 Ratings
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    Allvue Systems, a leader in investment management solutions, is available to fund managers, investors, and administrators within the alternative investments industry. We offer flexible, innovative investment software that removes barriers between people, information, systems, and people. This optimizes decision making and streamlines processes to meet investor requirements across private equity, private debt, and other alternative asset types.
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    Investor Reviews
    Investor is a software that allows you to calculate profit, price, estimate, and price different investment strategies (Hedge or Arbitrage, Speculate, etc.). The underlying assets (stocks and currencies, etc.) and derivatives (Options, Forwards, etc.). Investor analyzes different combinations of Calls and Puts, portfolios and Options, Spreads (Bull/Bear, Butterfly, Calendar), Combinations (Strangles, Straddles, Strips, Straps) as well as exact and approximate methods for Option pricing. It performs Black-Scholes analysis of European Options, analytic approximations on American Options, and it constructs binomial tree. The help panes for investors describe each part of the software with its underlying formulas. Investor allows interactive graph building and allows for graph dynamic manipulation using sliders and text fields.
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    CorpHedge Reviews
    CorpHedge is a simple SaaS that allows for FX risk management. Corporates don't need to be experts in the field, as everything is made simple and easy to understand. CorpHedge also offers live sessions, and helps clients set up the platform. Companies can create a custom FX hedging strategy, set up budget rates and receive notifications. They can also record and track their hedging portfolios, obtain reports and valuations, and see sensitivity. Companies can assess the risks they will face if they don't hedge FX risks. This is similar to outsourcing FX Treasury Management. Clients' Benefits: Save on transactions by gaining insights into the interbank market pricing. They also understand and manage FX risks at a level that they never thought was possible. System offers historical data to explore different strategies and their hypothetical outcomes. Which strategy minimizes volatility? System helps to understand the costs of hedges.
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    ICE Data Derivatives Reviews
    We continue to develop solutions for global clients in order to meet their demand for high-quality derivatives pricing and analytics. ICE Data Derivatives provides cross-asset analysis solutions, market data, and valuation capabilities. This is backed up by up to 16 years* worth of history. The commodity and energy markets are home to a wide range of products, trading dynamics, and liquidity levels. ICE's proprietary technology processes a wide range of market information on a daily basis and generates theoretical prices. Pre-trade price discovery, analysis, idea generation and dissemination, internal communication, trading, market risk management and real-time position monitoring and investigation, as well as internal communication and trading. A vast array of exotic, complex, and vanilla structures are available for a wide variety of markets and underlyings.
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    Nimbus Treasury Reviews
    Nimbus Treasury, a cloud-based solution for hedge accounting /IFRS 9 compliance.FX Risk Management,FX Process Automation etc. Nimbus combines extensive functionality with an extremely user-friendly interface and easy implementation.
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    Kantox Reviews
    Currency Management Automation is the process that completely automates the entire foreign exchange (FX), workflow of a company. This workflow begins when new currency exposure is identified. It then continues with risk analysis and monitoring, trade execution, and post-trade performance analysis. Businesses can leverage technology to overcome complex FX problems and reach their goals. Our software makes it easy to manage your entire foreign exchange process. From pricing your products to collecting your payments, you can do so easily with our software. While selling products or services abroad, calculate prices in foreign currencies. Dynamic Pricing automatically updates prices based upon currency market movements. This will give your business a competitive edge and protect your margins. You can customize how different types FX exposure are managed based on your business's goals and characteristics.
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    FINCAD Reviews
    FINCAD's best-of-breed analytics enable you to make informed investments with confidence. You can optimize your calculation of risk/return by having direct and simplified control over the analysis and valuation of your cash instruments and derivatives. Our libraries of world-class models, calculators, and workbooks make it easier to value derivatives and fixed income products. Our solutions are supported by a team of highly skilled technical professionals who are dedicated to your success. Complex derivatives and cash instruments can be difficult to price. Vendors don't usually offer coverage for exotic instruments. Additionally, building bespoke solutions internally can be costly and complex.
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    Reval Reviews
    Reval is the global leader in cloud treasury software. Our scalable Software-as-a-Service (SaaS) solution helps more than 650 companies around the world to better manage cash, liquidity, financial risk and hedge accounting. Our global client community includes companies of all sizes and industries, from more than 30 countries. Together, our finance and technology experts serve our global clients. Reval is part ION, which provides mission-critical trading and workflow automating software solutions to financial institutions and central banks, as well as corporates. Reval allows banks and corporates to choose and configure TRM (Treasury and Risk Management) technology in the cloud. Reval is a foundation that offers solutions for treasury departments of all sizes and complexity. Companies can choose the most comprehensive and extensive set of risk management and treasury capabilities to create their own solution.
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    TreasuryView Reviews
    For the most efficient start to financial risk management, we combine market data, product information, and cloud technology. Start capturing banking products using our sample product templates. Identify the most important items that can be taken action when markets change. Define and decide on treasury strategy. Reach out to your bank partners to reach your treasury goals. Allowing loan portfolio insights collected, automated and delivered directly to the management or other important stakeholders. Manage interest rate and loan exposures across all your banking relationships and enterprise structures. You can manage all foreign currency transactions and fx exposures across all of your banking relationships and enterprise structures. Automated P&L tracking against budget rates across all payables and receivables. Upload data via spreadsheet or enterprise ERP/TMS systems.
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    ResolutionPro Reviews

    ResolutionPro

    ResolutionPro

    $100 one-time payment
    ResolutionPro is an Excel financial analytics library that can be used for risk and MTM calculations. Free trial available. Calculate the risk characteristics and valuations for all commonly traded financial instruments, including interest rate swap pricing - Zero curve construction & swap value. Options, currency options and equity options. Bond Pricing - Government and corporate bonds, as well as FRNs. IRO Pricing, Interest rate options. Swaptions, Caps and Floors. Exotic Options, Exotic option pricing. Utilities, accrual, data calculation, Probability & Statistic, Rates & Discount factors, and Statistics & Probability. Easy and quick derivative pricing. Independent valuation of trades and risk management. Incorporate derivative models into your existing systems. Use Resolution's built in Sensitivity Tool to easily run complex scenario analysis. A wide range of instruments can be used to apply industry-standard pricing methods.
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    Adenza Reviews
    We provide market-leading solutions that optimize investment, unlock value, and drive growth. Financial institutions can consolidate and streamline their operations with our end-to-end trading and treasury solutions. We provide services to global, regional, and central banks, broker-dealers and insurers, asset managers and pension funds, as well as corporates. We are driven by exceptional people who drive innovation at scale. Solutions for regulatory reporting and risk management. You can meet your immediate regulatory reporting needs while creating long-term value. Front-to-back solutions in capital markets and treasury. Single source of truth enables faster decision-making and more efficient operational processes. It's a difficult task to manage large volumes of trades throughout the transaction lifecycle.
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    CashRisk Reviews
    Treasurers face a significant challenge in managing financial risks in an environment that is subject to market instability. CashRisk offers a simple and effective solution to this problem. CashRisk software offers a new "front-to-payment" approach that allows for the complete separation of decision-making, administrative, and control functions. This software gives all treasury agents a reliable, secure, and thorough management of financial transactions. The software package covers all market instruments (accounting terms, swap), to meet the expectations of the Front Office, Middle Office (Risks P&L, EMIR compliance), and Back Office (accounting & reportings) functions. CashRisk was developed by experts in treasury, market operation management, and risk management. It meets the following requirements: compliance to financial and accounting standards (IAS, IFRS), respect for the tresaurers standard, audit reports.
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    Riskdata Reviews

    Riskdata

    Riskdata

    $2000 per month
    Riskdata solution simplifies the lives of asset managers by computing all risk indicators for all asset types using state-of-the art mathematical models. Implementation is quick and easy because our teams handle all data requirements. We provide portfolio managers, quantitative analysts, and risk managers with the tools they need to be more efficient and perform proactive risk management. Our real-time computing technology allows for efficient post and pre trade management. This allows us to identify where the risk is coming from and how we can reduce it. Riskdata is an international company that works with buy-side financial institutions. These include large Asset Managers and start-up Hedge Funds. Riskdata is proud that it works with FORRS, a specialized consulting firm for solution integration, to efficiently carry out integration projects.
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    RiskEdge Reviews

    RiskEdge

    Risk Edge Solutions

    $35000 per year
    Risk Edge's "Predictive engine" is specifically designed for Commodity & Energy companies. It helps you understand hidden patterns and price trends, so that businesses can be understood as a whole and not just in their parts. The built-in models provide a clear, unrivalled view of your data. RiskEdge calculates the value-at-risk (Value at-Risk, Expected shortfall) for all your physical and derivative position and across counterparties. Its' Powerful Engine delivers accurate results fast, even with computation-intensive methods like Monte-Carlo. Market Edge is an AI-driven web-based solution that applies analytics to commodity and energy price data. Market Edge gives traders and risk managers an advantage by offering Machine Learning-based forecasting, advanced visualizations, and loads of technical analysis indicator and their finger-tips.
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    Hoadley Portfolio Optimizer Reviews

    Hoadley Portfolio Optimizer

    Hoadley Trading & Investment Tools

    $129 one-time payment
    Optional data download and analysis function will automatically retrieve historical stock, fund and index prices from Yahoo Finance (most exchanges support it), or from an external spreadsheet for a complete portfolio. It will also calculate key risk measures like volatility (decomposed into active, residual and market risk), Beta and R-Squared for individual securities and the specified index as well as the entire portfolio. To give a visual representation of the stability of individual assets, you can view graphs showing historical trends for betas, prices and correlations between assets.
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    Rival Risk Reviews
    Rival Risk is a multiasset, enterprise risk management platform designed for professional traders and risk managers. It is fully hosted on a cloud-based platform. Waters Ranking 2022 voted Rival Risk the Best Risk Solutions Provider.
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    RiskThinking.AI Reviews
    We can collect, code, align, and analyze billions upon billions of data points. We generate the derived data necessary to calculate Climate-related financial risk and make all our data available to subscribers via secure API. Multi-factor scenarios are generated algorithmically that allow us to stress-test assets' climate-related exposure to Political, Economic, Carbon and Physical Risks. We calculate Exposure ScoresTM and Climate Risk RatingsTM for each asset, portfolio, company, sector, country, and region. We assist regulators, governments, financial institutions and asset managers worldwide in identifying, evaluating and stress-testing the potential financial effects of climate change on industries and portfolios.
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    Cube Platform Reviews
    Cube Platform is a web-based, flexible, cloud-ready application that offers full FIX order connectivity with multiple execution venues and/or custodian bank or brokers, as well as complete risk and position management. Rapid configuration is possible thanks to the full user / role matrix. Cube Finance, a Swiss fintech company, developed this app following our 20+ years of experience in order management, compliance and risk management. A wide range of institutional clients use this service, including regulated (UCITS), fund companies, indipendent/external asset managers, banks and brokers that offer online trading in listed derivatives, cash instruments, and family offices. Conforms to AML / KYC regulations as well as MIFIDII specifications. This was developed in Switzerland by senior finance professionals. Financial-fluent and senior technology staff in Switzerland provide support (GDPR compliant).
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    Silver.net Risk Reviews
    Financial Solutions for corporate banking, treasury management and corporate banking. Silver.net is a leader in the IT market's banking and treasury management apps segment. It offers a range of financial solutions that allow full integration with ERP systems as well as the core systems of the organization. These solutions make it easier to unify financial data from multiple sources. The V.FRM solution suite allows for the expansion of the financial desktop by integrating additional modules. These solutions integrate seamlessly with core systems of the organization and provide unique functionality that allows for optimal financial management. Silver.net.V.Bank System provides high-level information security and a user-friendly interface rich in functionality. It allows you to import bank statements from around the world and manage a variety of accounts with Israeli and foreign banks. Silver.net V.Cadh Management
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    Abrigo Reviews
    Our Advisory Services team is made up of former bank C-suite, credit risk executives, accountants and bank examiners. Because we have been there, we know how to solve problems at your institution. Our team can help you with any area of concern, including portfolio risk and CECL, BSA/AML fraud, Asset/Liability management, and deposit pricing. Let's get your institution on the right track to greater profitability.
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    FICO Falcon X Reviews
    Combat fraud and financial crime with unparalleled accuracy FICO®, Falcon® Fraud Manager provides a central fraud, AML and KYC screening platform. It can be used to design rules, execute machine learning models, manage workflows, and manage investigations. FICO®, Falcon® Fraud manager allows you to support unified operations at scale. This will allow you to fight fraud faster and stop criminals sooner, allowing you to deliver digital experiences that are world-class and strengthen consumer relationships. You can extend the boundaries of financial crime detection by allowing x-dimensional freedom - any data source in any format. Mix streaming and batch updates from any source. You can easily map data to create aggregations, variables, and other contextual data services. You can choose from proven FICO machine-learning models, imported third-party models, or in-house models. Open libraries with FICO®, Analytics Workbench™, Falcon® Edition are used to develop, evaluate, and implement models.
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    Firm58 Reviews
    Manage client commission agreements, billing, payments, compensation, positions, and compensation across all asset classes, including equities and futures, options, foreign currencies, fixed income, and equities. Notifications to the enterprise are used to communicate important information, track responses, and verify safety. Keep up-to-date with sales and marketing intelligence for just-in time to increase customer engagement, grow revenue, and keep you in the loop. You can understand what's happening in the media, identify ways to influence key stakeholders, and improve your operational decision-making. You will have daily visibility into revenue streams and a shorter billing cycle. This will result in better transparency, happier customers, and faster payments. Analytics to improve decision-making and increase profitability. This includes the ability to verify execution invoices each month and other features. It can also measure the effectiveness of specific regions, desks, or traders, as well as the profitability of each client.
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    Risk Controller Reviews

    Risk Controller

    Risk Control

    $4000 per month
    RC-ICAAP, Stress Testing System and Stress Testing System This system allows banks and asset managers perform Pillar II capital calculations as well as generate stress test projections to cover all the risks required by regulators. We license enterprise software that implements rigorous risk management methods. Our software is used worldwide by top banks, asset managers, funds, and public institutions. We license enterprise software that implements rigorous risk management methods. Our software is used worldwide by top banks, asset managers, funds, and public institutions. We continue to improve our software and add new features. Risk Control software integrates seamlessly with clients' existing upstream and downstream systems. Risk Control can create flexible software platforms that are tailored to meet client needs.
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    RiskAPI Add-In Reviews

    RiskAPI Add-In

    PortfolioScience

    $300 per month
    You need a powerful, dynamic, and comprehensive system to identify and analyze market risks for your hedge fund or service provider. RiskAPI is the answer. In record time and with minimal cost, you can set up a portfolio risk management system for your hedge fund. Client-wide exposure. Clients will receive robust reporting, analytics, and portfolio risk management tools. As a value-added service, provide fund clients multi-asset, multicurrency portfolio reporting. A winning combination is integrating sophisticated portfolio risk analytics into pre-trade functionality. PortfolioScience is a specialist in risk management technology for financial institutions and investment services, financial advisers, hedge funds, commodity producers, and financial advisors. PortfolioScience's cloud-based RiskAPI®, service allows fund managers, advisors and traders, as well as both buy-side or sell-side market participants, access to powerful risk analysis capabilities on-demand. RiskAPI contains all the data required, etc.
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    Risk Shell Reviews
    Risk Shell is one of the most sophisticated and comprehensive risk management and portfolio construction platform currently available on the market. It is an all-in-one analytical platform offering advanced risk management, portfolio construction & optimization, accounting and CRM for hedge fund of funds and multi-asset investment portfolios. With more than 500,000 financial instruments covering alternative investments, CTAs, mutual funds, ETFs and global equities Risk Shell is capable of constructing many multi-asset portfolios.
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    AQMETRICS Reviews
    The AQMetrics' online platform was specifically designed for modern financial institutions that want to minimise regulatory risk. AQMetrics' automated, end-to-end regulatory technology platform will ensure that you are always compliant by automating all your regulatory reporting, compliance, and risk management needs.
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    PackHedge™ Reviews

    PackHedge™

    FinLab Solutions SA

    $5,000 per year
    3 Ratings
    PackHedge™, the world's leading investment industry solution, is the best for Alternative/Hedge funds and Private Equity funds. It also works with traditional/mutual funds as well as many other investment instruments (UCITS. ETF. Equities. Real Estate. Forwards. Currencies. empowering quantitative and qualitative research and analysis, risk analysis, stress testing, scenario analysis, exposure analysis, contribution and attribution analysis, asset allocation, portfolio construction and management, shadow accounting for portfolios, managed accounts and funds of funds, with liquidity and cash flow forecasting/analysis, due diligence, document management, workflow, CRM (client relationship management), compliance, KYC and financial innovation. A collection of state-of-the-art modular software tools integrated into a single platform. This allows for unmatched data management models for multi-source, multiple-frequency, and multilingual qualitative and quantitative data.
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    ABCP Suite Reviews
    Every day, the securitization market becomes more complex. Management is essential for survival and competitiveness. Deloitte can help you manage the complex infrastructure issues required to run a flexible, sophisticated funding vehicle. Our multi-functional team of experts has created a system that provides you with accounting, reporting, accounting, and hedging support. Our asset-backed commercial paper system, ABCP Suite can meet the diverse needs of a variety of vehicles, from single sellers, single currencies, and single legal entity transactions, to more complex multi-seller and multicurrency transactions.
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    Novus Reviews
    Data is the key to unlocking your true potential. Novus works with fund administrators and custodians as well as prime brokers and portfolio management systems to digitize, organize, and manage manager-provided data. You can also retain control by self upload. Any frequency, any transparency level. Novus uses advanced reconciliation technology to verify the timeliness and quality of critical portfolio information. Novus can identify and correct data errors and provide perfect portfolio information. Custom tags can be used to label, bucket and analyze data. Connect other data, such ESG. Compare public filings of thousands of managers. Leverage Novus' proprietary indexes allow you to track the most popular stocks of hedge funds (learn more).
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    Nirvana Solutions Reviews
    One Solution to All Your Asset Management Technology Needs. We are a financial technology and service provider that provides integrated, multi-asset classes workflow solutions to Asset Managers. Our Mission is to simplify the investment process. Our solution seamlessly integrates front, back, and middle-office solutions tailored for a wide range of financial firms, including Hedge Funds and Asset Managers, Family Offices and Prime Brokers. Nirvana allows clients to consolidate disparate data across multiple counterparties and multiple accounts, as well as multiple asset classes, all from one easy-to-use platform. Our solution also includes a back-office and middle-office service that we provide to our clients to help them manage these tasks. Asset Managers and Asset Owners are able to manage complex portfolios with one view thanks to customized dashboards and integrated compliance. This allows for confident decision making.
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    IRIS Reviews

    IRIS

    Global Market Solutions

    IRIS workflow addresses the global challenge of active counterparty risk management. It includes trade data acquisition, trade re-booking, consistent pricing, comprehensive aggregation module and hedge requirement computation. IRIS is a distributed parallel application that allows efficient use of multi-core systems. A HPC solution that uses GPU and Multicore processors can also be used to accelerate pricing and Greeks calculation. It is a key design goal to be able to integrate IRIS engines into complex systems. The.NET framework is interoperable and integrates with other languages. IRIS fully supports FpML as well as market data providers such Bloomberg, Markit, and Reuters. This ensures seamless data stream integration. IRIS internal data is fully accessible, making computation details auditable.
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    RiskAvert Reviews
    RiskAvert is a robust solution for risk management that enables financial institutions to collect and reconcile data, calculate and aggregate regulatory credit, market, operation, and concentration risk in an integrated yet modular environment. It supports all approaches to credit, market, and operational risk calculation, allowing banks to move away from a standard approach to IRB approaches. The solution supports XBRL validation as well as conversion functions for multiple taxonomies. The solution's cube-based MIS reporting engine fully supports market transparency requirements. Supervisory review is covered by a holistic stress testing framework as well as extensive concentration risks measures and reporting. The full coverage of the EUCRR/CRD Regulation, and future developments. Calculation of credit risk capital requirements according to Standardised or IRB approaches.
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    Numerix Reviews
    Numerix capital market technology solutions will help you to discover your competitive advantage. You can create trading opportunities, manage risk effectively, and achieve the scale, resilience, and speed you need to redefine success. Numerix Oneview, a comprehensive, real time capital markets risk management system, empowers traders and sales personnel with a multi-dimensional, holistic view of their structured products and derivatives businesses. Oneview is powered by the most advanced cross-asset pricing technology and risk analytics, and optimized for performance. Its wide range modules allow for powerful decision insights and uncompromising accuracy. Oneview gives you a comprehensive view of your entire derivatives business and helps you make the right decisions when it matters most.
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    Portfolio Genius Reviews
    Accuracy in accrual and accretion, in conformity to the current Generally Accepted Accounting Principles. This includes concessions on debt and fees, premiums and discounts. Also, the International Financial Reporting Standards. Accuracy in the maintenance and tracking of fixed-income securities' financial terms. This includes principal and interest payments, coupon rate, rate resets and call dates. Interest rates can be based on a mathematical formula that includes an embedded index, caps, floors, and other variables. Automated back-office functions include automated data entry, maintenance and business calendar maintenance, principal interest payment calculations, reconciliation, and maintenance.
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    COLLINE Reviews
    We offer a truly cross-product solution. This platform allows consolidation of collateral processes across all asset types. This gives you maximum control and visibility. Automated calculation of exposure and balance collateral requirements. Consolidate information in user-definable dashboards. Manage end-to–end margin call workflows, notifications and reporting. Provide forward ladder inventory views. Resolve margin call disputes. Run defined and bespoke optimization algorithms. Calculate interest and create fully configurable client statements. Support a variety of sophisticated trade and risk analytics.
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    ATOM Syndications Reviews
    ATOM Syndications automates the administration of large commercial loan and lease portfolios that are syndicated to institutional investors. ATOM Syndications seamlessly integrates with existing servicing systems. It provides integrated cash management and accounting for the entire life cycle of syndicated deals. ATOM Syndications has built-in functionality to allow "Due To/Due from" (DTDF), controllership. This includes real-time DTDF imbalance analysis and support for user-definable plans for resolving any balance discrepancies. ATOM Syndications offers complete automated life cycle accounting, including servicing fee liability, fair valuation, and FIN 45 accounting support to true/synthetic operational/financial leases.
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    Argo Trading Platform Reviews
    Are you looking to create a new crypto market? A FX, stock exchange, commodity or stock exchange, alternative trading platform, dark pool, blockhouse, hedge fund, brokerage, or HFT operation? We are eager to assist! Argo Trading Platform (ATP), a collection of high-performance FinTech software components - front-ends and servers, as well as APIs - that work together to provide core technology for both buy-side and seller-side financial institutions. ATP features an ultra-fast order management system (OMS), web-based and desktop-based trading screens with charting, technical analysis, and market data distribution. It also includes a risk management system, high-capacity/low latency matching engine with price time priority FIFO, pro-rata matching algorithms, implied In and out logic, continuous and call action trading sessions, Trading APIs and High Frequency Trading frameworks and Reliable Multicast Messaging(RMCast).
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    OmniLytics CECL Reviews
    OmniLytics CECL Produces Your Quarterly CECL Report For You - Capture all required financial data from regulatory Call Reports - Perform all required calculations using the aggregate method - Derive all required peer calculations using the same data and methodologies - Collect and evaluate your Q-factors via our proprietary matrix - Assist you develop and apply required adjustments too best reflect your institution - Review your report with you with our “Analyst with every report” service - Make sure you are Exam-Ready with a self-contained report and CECL education
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    Lumina Americas Reviews
    Lumina Treasury is a front-office trading and portfolio management system that allows financial institutions to manage their day-to-day business for their own and third-party positions. This includes trading and treasury desks, client portfolios, and mutual fund portfolios. It offers a variety of tools to manage cash flows and balances, accumulated or projected liquidity, exposure, curve-based risk management, currencies and indexes, as well as the administration of cash flow and balances. The application calculates the daily, monthly, and annual P&L on an individual portfolio basis, taking into account primary risk factors. The product coverage includes derivatives, exotic derivatives, structured products, and plain vanilla instruments. There are also Latin-American products that can be valuated using fresh market data. Lumina Treasury can be used to integrate all transactions from other applications using the vast array of interfaces (PropietaryAPI).
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    Anomalia Reviews
    Anomalia®, which uses proprietary AI-Algorithms, detects potential fraud, risk, conflict, and non-compliance in financial or legal engagements at the transactional level. Anomalia®, anomaly detection in ACH Transactions uses customer transactional and behavioral data to detect fraudulent transactions and prevent them from being made. Anomalia®, anomaly detection in mobile bank transfers analyzes the authenticity of mobile checks and the accounts they were deposited. It also determines where their geo-spatial deposit locations are to detect fraud in transactions. Anomalia®, anomaly detection in wire transactions analyzes originators and beneficiaries, as well as their anomaly scores derived form other wire transactions to detect potential frauds. Anomalia®, anti money laundering, analyzes transactions, entities and linkages to detect money laundering transactions.
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    BlackSwan Reviews
    BlackSwan is a FINARTIS asset allocation and risk management platform. The solution provides a range of risk-related analyses including volatility analysis and allocation analysis. It also includes Monte Carlo models and Monte Carlo models. This platform helps users avoid extreme events by providing accurate distributions and cutting edge quantitative risk metrics. BlackSwan's non-gaussian distributions help to optimize asset mix in uncertain investment environments.
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    Credco Reviews
    Credco is a consumer report agency that gathers and evaluates consumer data and provides reports to third parties for the purposes of extending credit offers and/or other purposes, as permitted by law. Credco's Consumer Assistance Department can provide a copy of any information we may have about you. Credco is a consumer report agency that provides consumer reports for its clients, which include banks, mortgage companies, and other lending institutions. This information is used to assess credit risk and/or other legal purposes. As a consumer report agency, we can only disclose information about you to companies you have authorized to access it or to those with a permitted purpose under the Fair Credit Reporting Act. Credco is a reseller for consumer report information. We do not maintain a database from where new consumer reports can be produced.
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    Risk Explorer Reviews

    Risk Explorer

    Ultimate Risk Solutions

    Risk Explorer™, which is present in more than 30 countries, is at the core of enterprise risk modeling processes around the world. Risk Explorer™, our industry-leading platform for financial and risk modeling, features powerful analytics and high performance simulation technology. It is flexible, transparent, and simple to learn. Risk Explorer's proven technology and advanced modeling capabilities allow insurance companies, reinsurers and reinsurance brokers to add value to their business. Risk Explorer's software engineering design allows even the most complex corporate risk models to be created in days after all parameters have been parameterized. This ensures that commercial benefits can be delivered quickly from financial modeling.
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    Investortools Reviews
    Investortools offers insight into how to identify and quantify the reasons for a portfolio's total returns. Learn the math behind these calculations, and how Custom Index Manager can help you explain portfolio performance. Factor-based attribution uses independent systematic factors such as income effects, yield curve effects and spread effects to explain returns. Allocation attribution attributes excess returns (portfolio total and index return) to hierarchical allocation decisions as well as differences in return within each grouping. Simulated performance provides a detailed (Bottom Up) breakdown of total return
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    Payscore Reviews

    Payscore

    Payscore

    $10 per screening
    Verify the income of applicants to accelerate your leasing, lending and sales decisions. Make informed decisions about whether to lease or lend immediately and equitably and ensure compliance with fair lending and housing requirements. Clarity, accuracy, and speed are all you need to receive the verified information that will help you make informed business decisions. Our unique solution produces successful reports 98% the time. You can react to market changes early by gaining insight. Use data to evaluate your market. Be the first to know about changes that will affect your business. Profit from competitive dynamics. Payscore helps businesses make better decisions. Finally, a solution for income verification that works like you. Payscore's integrations with the leading software tools for leasing and lending enable you to take advantage of the Payscore Advantage without changing your work style.
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    NEMESIS Reviews
    NEMESIS: Next generation AI-powered anomaly detection technology that detects fraud and waste. NEMESIS: Next generation AI-powered anomaly detector technology that pinpoints efficiency opportunities within your business management systems. NEMESIS, powered by AI, is an enterprise-ready configurable platform for business solutions that enables business analysts to quickly transform data into actionable insights. AI can solve problems such as overstaffing, medical errors and quality of care. NEMESIS's continuous process monitoring allows you to uncover a wide range risk elements. From predicting quality issues to detecting abuse and waste, NEMESIS can help you. Machine learning and AI can be used to detect fraud schemes and prevent them from draining your finances. Continuous visibility of waste and abuse will help you to keep your budget in check and prevent budget deviations.
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    AdvisoryWorld Reviews
    Our API provides elegant user experiences. Leading investment advisors rely on AdvisoryWorld web-applications for their wealth management workflows. You can search for and analyze investments using dozens of criteria, such as asset class, manager tenure, performance statistics, and style detail. Compare and contrast investments based on diversification and performance-based statistics such as Asset Allocation, Hypothetical History Performance, MPT Statistics (e.g. Standard Deviation, Sharpe and Beta, Alpha), Duration, Expense Ratio and Hypothetical Historical Performance, MPT Statistics (e.g. Easy to create customizable Asset Fact Sheets and compare them side-by-side. With the help of financial modeling tools that are institutional-grade, you can build and analyze portfolios. The interface is lightweight. Examine the impact of fees & sales charges, dividend reinvestment, and capital gain reinvestment on portfolio growth.
  • 49
    Arctic Intelligence Reviews
    Innovative financial crime risk assessments that protect your business. Financial crime compliance programs must include risk assessments. Arctic Intelligence offers an enterprise-wide risk assessment solution that can assess your business' vulnerabilities according to global regulations and FATF guidelines. Our solutions are able to address many problems by providing data-driven, defendable results and quickly creating a program that is tailored to each organisation. Our technology can calculate and present firm-wide risk profiles. This allows us to identify and highlight high risk areas, and help us to address any weaknesses. Real-time reporting provides accurate, consistent, and reliable results for both individual business units and the entire organisation.
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    Broadridge Risk Master Reviews
    Risk Master assists mutual funds and ETF providers to manage credit and market exposure across all asset classes and investment strategies. Users can run historical scenario analysis, calculate VaR, and apply portfolio stress factors to provide comprehensive risk reporting. Our cloud-based risk management software integrates with our portfolio management (PMS), order management (OMS), and portfolio management (PMS), all in one application. Your approach to risk exposure can be consolidated. Our specialists and representatives are available to provide the solutions you require to grow your business. Our data-driven solutions and expertise will help you stay focused on your core business and meet regulatory requirements. Broadridge's platform is used by asset managers. Broadridge, a global Fintech leader $5 billion in revenue, provides the critical infrastructure for investing, corporate governance, and communications to enable better financial life.