ETNA Software builds custom pre-trade and post-trade risk management software for sell sides and buy sides. All custom components can be integrated with the existing trading front-ends. Branded desktop or AJAX based thin clients can be developed. All software products can be hosted in enterprise cloud environment.
Validation before the match
Our custom solutions can include any number of user defined parameters that determine if the order should be sent to execution. If an order doesn't pass validation, it will be rejected and an alert will be generated. We implement limit controls at several levels globally and on a per-security basis.
Orders can be validated before execution at the following levels:
- Order type
- Ticker Daily shares
- Total value
Post-execution risk analysis
ETNA Software develops custom post-execution risk management components that calculate account margins using client-defined strategies. We program custom algorithms for profit / loss, greeks and SPAN margin calculation. All values are calculated in real time and immediate adjustments to cash balance, positions and margining settings can be made intraday
ETNA Software's post-trade tools can be customized at all levels:
- Reporting and export options
- Spread strategies
- User hierarchy