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Deployed by leading brokerage firms and regulators, such as Pershing and CFTC |
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Backed by 100+ years of staff expertise across four continents, including former regulators and compliance officers |
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Hundreds of proven models, providing end-to-end surveillance across the enterprise |
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Institutional Surveillance Comprehensive compliance solutions for sales and trading practices and control room surveillance across all business lines and products. Provides scenario management for market manipulation and abuse, fair dealings with customers and insider trading. Includes specific tools for desk supervision and trade reporting practices.
Retail Surveillance Addresses organization-wide compliance across a broad range of retail sales practices relating to Know Your Customer and Suitability requirements. Enables local and regional branch management to effectively delegate supervision across products and provides automated desk supervision with electronic access and sign-off on individual trades.
Employee Surveillance Provides Conflicts of Interest and Trading Fraud detection. Completely automates the submission, review and approval process for employees’ personal trades, gifts, outside business activities and more. Analyzes transactions against rules mapped to the organization’s employee trading policies and procedures.
MiFID Surveillance Context-specific solutions to ensure complete compliance with the Markets in Financial Instruments Directive (MiFID). Addresses best execution, suitability, client order handling, transaction reporting and conflicts-of-interest.
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