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ORGANISATIONS MAP

Type of clients | Service focus | Solution features 

RiskValue™ by Systemic

RiskValue™ is Systemic’s all-in-one platform for investment and risk management: one environment covering front, middle, and back office instead of a stack of stitched-together systems. It handles portfolio management, treasury and custody back-office operations, fund accounting and NAV, transaction clearing and settlement, financial risk management (VaR, stress testing, valuations, theoretical pricing), and regulatory reporting (UCITS, AIFMD Annex IV, EMIR REFIT, SFTR, MMFR, ESG, FATCA/CRS, Basel III/IV). Instrument coverage is deliberately broad, with real-time valuations and heavy parametrization so banks, fund managers, fund administrators, wealth managers, and broker-dealers can run everything off a single source of truth.

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Response to the AMLA Public Consultation

Response to the European Commission Targeted Consultation on Private Equity Exits