Domain, insight, technology
We have deep expertise in all best-in-class vendor applications in the capital markets space, delivering stellar solutions to our clients in a variety of domains.
We have deep expertise in all best-in-class vendor applications in the capital markets space, delivering stellar solutions to our clients in a variety of domains.
Through our knowledge and experience, our team of experts has delivered cost-effective and insightful solutions in:
We can help you manage the complete lifecycle of your loans: origination, servicing, payments, and reporting.
We have deep expertise in trading, clearing, settlement, and collateral management for fixed income derivatives.
We understand what it takes to build game-changing solutions while still ensuring scalability, compliance, and cost-effectiveness.
We know the complexities of fulfilling the accounting standards (e.g., ASC 815, IFRS 9, GASB 53) and can build the required charts, tests and reports to make this nearly effortless.
Our expertise can help you optimize how you track and report on your fixed-income securities, manage amortization, accruals, impairments, and valuation adjustments for your financial statements.
From factoring in market conditions, credit risks, and portfolio composition, we have the quantitative knowledge to implement the models you need.
Our team’s background in quantitative and theoretical finance, along with derivative and trading operations, puts us in a unique position to provide detailed reviews or your models and reports for accuracy, appropriateness, and soundness.
We have a proven track record in reducing risks from user-developed spreadsheets and applications informed by our work with a wide variety of financial institutions and platforms.
We can be trusted to help you gain the insights necessary to determine the fair value of your MBS and loan portfolios, considering factors like prepayment risks, interest rate movements, and credit quality.
We have what it takes to navigate major market transitions and our projects for the transition away from LIBOR to SOFR and other risk-free rates helped our clients lead the market.
We have a proven track record in assessing mark-to-market, fair value, quantifying risks and supporting trade and risk management. Our team also help clients meet GASB 72, ASC 820, and IFRS 13 standards, ensuring compliance with fair value measurement requirements.
Through years of delivering hedge effectiveness tests, we have the practical know-how to avoid common pitfalls and build a testing process that genuinely makes compliance easy.
Our clients’ enthusiastic support has been a critical contributor to our growth.
Hover over any of these locations to see just a selection of the many successful projects we have undertaken.
Washington
Cincinnati
Indianapolis
Tampa
Atlanta
Charlotte
New York
Seattle
Salt Lake City
San Francisco
Topeka
Des Moines
Pittsburgh
Toronto
Detroit
Chicago
Boston
Our team of experts has a track record of delivering cost-efficient solutions and implementations for our clients. In addition, we provide comprehensive managed services to allow our clients to focus on their core business while we manage their technology needs efficiently.
ETS
PRINCIPIA
CALYPSO
POLYPATHS
SUMMIT
OPICS
QRM
YIELDBOOK
BUSINESS OBJECTS
BESPOKE DEVELOPMENT
CALYPSO / ADENZA
ETS
OPENLINK / FINDUR
OPICS / FINASTRA
POLYPATHS / NUMERIX
PRINCIPIA
QRM
SIMCORP
SUMMIT / MISYS
YIELDBOOK
ETS
PRINCIPIA
CALYPSO
POLYPATHS
SUMMIT
OPICS
QRM
YIELDBOOK
BUSINESS OBJECTS
BESPOKE DEVELOPMENT
Sometimes an off-the-shelf solution doesn’t present the critical functionality that your organization needs. Epsilon Services can help.
We are highly experienced in the area of customized software solutions, including the development and implementation of End-User Computing (EUC) replacement strategies. Here is a sample of some of our bespoke development deliveries.
We’ve led the optimization of several banks' clearing operations, delivering derivative clearing solutions that streamline workflows, comply with regulations, and gain efficiencies.
We’ve implemented seamless and compliant derivative settlements solutions that also reduce operational risk.
We have developed proprietary counterparty rating models, integrating internal and external data sources to improve risk-based decision-making across trading and credit operations.
We’ve designed and built a funding optimization framework for a bank, balancing liquidity needs, minimizing funding costs, and improving their collateral utilization while maintaining regulatory compliance.
We have successfully completed many comprehensive hedge effectiveness projects and know the subtleties that can provide the kind of effortless and reliable compliance our clients want.
We’ve delivered risk-based pricing frameworks for national lenders, integrating advanced modelling techniques and technology solutions to optimize pricing decisions and profitability.
We’ve leveraged our quantitative expertise to redesign enterprise-wide risk reporting, transforming it into a strategic asset that delivers actionable insights and integrates seamlessly with our clients' enterprise risk management operation.
We have implemented many subledgers across our client base and know what it takes to provide accounting that’s easy to reconcile, interrogate and integrate with the business’ core financial reporting system.
We have developed several sophisticated but straightforward trade applications that make life easier for our clients without sacrificing control and transparency.
We have delivered several EUC replacement projects that deployed a no-code Unqork based application that lightened the overall cost of ownership and reduced operational risks.
We have designed and delivered a valuation benchmarking framework for a financial institution that ensured accurate asset pricing while integrating several market data sources.