Inclusive, precise, trusted
Portfolio managers, risk groups, and operations staff are able to focus on their core activities and make more confident investment decisions because PAS allows them to create a single, dynamic view across their entire balance sheet. They can manage credit and market risk across the entire capital markets business:
- Independent valuations and risk assessments for vanilla and complex derivatives
- Independently evaluate every deal, monitor collateral performance & forecast cashflows
- Incorporate multi-curve, RFR curves, and OIS discounting into valuations and risk assessment
- Proactively monitor & reveal risks & stress test assumptions
- Automate fixed income reporting and maintain compliance with risk & investment guidelines
- Consolidate operations and implement controls across portfolios and business areas