Yieldbroker is continually developing STP solutions for its clients, with a key organisational objective being improved transactional efficiency and the mitigation of operational and compliance risk for all debt market participants.
We recognise that client STP requirements vary greatly and offer a variety of pre-trade and post-trade functionalities that assist in the automation of settlement and accounting processes.
- The Yieldbroker DEBTS trading platform can be seamlessly linked with a number of order management systems allowing clients to upload order details and allocations, execute trades then retrieve ticket and settlement details.
- Yieldbroker can also provide assistance to clients who wish to utilise our API and FIX messaging to link in-house pre-trade or post-trade infrastructure to the DEBTS application
- Our allocation functionality provides the ability to attach allocation details to transactions to allow individual trade tickets to be issued for each account.
- The platform provides immediate price confirmation on all trades.
- Yieldbroker and Omgeo have established an interface between their services to facilitate streamlined fixed income processing.