Algorithmics' suite of solutions combines risk management software, services, advisory and content to help financial institutions acquire an integrated, enterprise-wide view of risk, meet regulatory requirements and make better business decisions.
Algorithmics' suite of solutions combines proven software, services, advisory and content for scalable enterprise-wide risk management.
Proven solution for modeling insurance portfolios across a spectrum of regulatory regimes for the purposes of statutory reporting and valuations, ALM, risk and capital calculations, aggregation, profit testing and pricing and much more.
Enhance strategic decision making and balance sheet risk assessment with a scenario-based data management and analysis solution that provides an integrated, accurate and complete view of risk/return, ALM and liquidity risk across all assets, liabilities and capital in the balance sheet.
Optimize use of collateral inventory and minimize operational risk with an enterprise-wide automated margining solution for all aspects of the collateral management process, providing advanced analytics and timely access to market data for faster responses to business opportunities.
Optimize reconciliation of counterparty volumes, trades, and differences in portfolio transactions, with an advanced, high-speed solution to auto-match transactions, perform daily reconciliations, and reduce credit losses.
Access the industry's leading global solution for the pooling and management of inter-bank credit data, supporting Basel regulatory compliance and enabling more informed decision making for growth.
Enable comprehensive credit management, while optimizing transparency and operational efficiency, with a solution that provides consistent credit data and controls throughout the credit lifecycle across both the banking and capital markets business lines.
Meet regulatory challenges across multiple jurisdictions with an integrated Basel ll & III solution that spans the trading and banking books, increasing operational efficiencies and lowering the cost of compliance.
Calculate solvency capital and address governance and reporting requirements with a “best practice” solution built working with the leading insurers, featuring a seamless migration path across three increasingly powerful editions, to help meet regulatory deadlines, manage economic and regulatory capital and grow with changing business requirements.
Manage risk enterprise-wide with an accurate view of market and credit risk across the trading and banking books, featuring faster, more consistent valuations with real-time support for high volume and profit-focused front office applications.
Build a stronger wealth management business with capabilities from monitoring and regulatory compliance through to multi-period optimization for customized financial planning.
Proactively manage operational risk, and attain competitive insights, with access to the industry’s most complete database of operational risk events.
Improve your firm's risk management practices, and attain the best return on investment (ROI), with the industry's only fully integrated solution to measure, manage and mitigate operational risk.
Measure and manage investment-related risk with an integrated solution for portfolio and risk analytics, real-time risk monitoring, and market analysis.
Increase investor confidence, address regulatory compliance and formulate investment decisions with a range of solutions – from pre-configured risk reports to customized systems with different deployment options – optimized for hedge funds.