Integrated Risk & Treasury
Management Platform

running the largest treasury
operations in the world

Risk and Treasury Management (RTM) is a Cross Asset, High Performance platform that covers the complete trade cycle. It delivers performance via a user configurable Straight-Through-Processing (STP) mechanism across the front, middle and back office, which improves the efficiency of trading functions by eliminating redundant manual processes and focuses the user on management of the exceptions within the Bank's transaction flow. Based on evolving customer requirements, the RTM platform can rapidly deploy new products in new markets using Polaris' trademark 'Smart Build Methodology'.

Integrated Risk and Treasury Management

Shifting gears from managing Risk to Leveraging Risk for business advantage

Treasurers are in desperate need of central enterprise-level global solutions that go beyond mere operations execution. They require intelligent systems that will assist them in taking insightful decisions, utilize advantages of arbitrage opportunities, monitor global exposure and leverage risk information for Performance Management. The real need is not just to manage risks, but to leverage risks!

While the earlier days of Treasury concentrated on automation, integration and usage of APIs for upstream and downstream connectivity, today is the era of 'Information on the go', informed decision making, and a fundamental shift from managing risk to leveraging risk for competitive business advantage.

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BASEL III LRM with
ZF Visualization

Expressway to BASEL II/III - Building the foundation for a robust liquidity Management Infrastructure

Brokerage

A comprehensive, accurate and stable global trading platform which addresses the challenges faced by financial institutions in the Order Management industry

Custody

Superior Design focused on Customer Satisfaction for Custodial Clients of Custodians and Fund Managers