Hedge Fund

By combining Sernova’s suite of cloud-based post-trade solutions for hedge funds with our direct clearing capabilities across asset classes and market segments, you can introduce significant operational, cost, and margin efficiencies for your firm.

Sernova is the future of your post-trade requirements: Specialise. Scale. Streamline.

ETD

Clear exchange-traded derivatives with confidence.

We provide a modern and efficient solution that empowers your organisation to take control of futures and options clearing operations.

Our partnership approach and cutting-edge technology ensure savings of between 30-80% compared to legacy systems.

Features

Global exchange management

24/7 operational support and transaction processing

Reference data management

Regulatory reporting

Collateral management solution

Accounting feeds

Reconciliations

Benefits

Reduces operational risk and improves accuracy

Increases efficiency and streamlines workflows

Provides real-time insights and a comprehensive view of trading positions and exposures

Enhances transparency

Optimises collateral usage by enabling cross-margining with your cleared OTC and repo positions

Testimonial

“Our clients expect the best clearing solutions, and Sernova provides this. Together we are strengthening our clearing capabilities and enhancing the overall user experience. We are confident that this partnership will bring long-term value and growth to RBI and our clients.”

Christian Geberth, Division Head Group Prime Services at Raiffeisen Bank International

OTC

Clear OTC derivatives with confidence.

Our advanced solution offers a comprehensive and cost-effective approach to OTC clearing through our shared utility model.

Partnering with us empowers your operations by improving operational efficiency in post-trade processing.

Features

Trade capture and affirmation

Credit checking

Trade processing and lifecycle management

Collateral management, margin management, independent margin validation and cross-margining

Limit management, fee management and risk analytics

Reconciliation

Benefits

Enables revenue generation

Reduces capital costs and supports optimisation strategies

Reduces counterparty risk and enhances transparency

Provides access to wider liquidity pools and cross-margining benefits, optimising collateral usage across multiple CCPs

Improves operational efficiency

Enables compliance with regulatory requirements

Testimonial

“BBVA is focused on providing more and better services to our clients and so we have selected Sernova to ensure that we can more effectively manage a multi-CCP and broker world. This will result in a more automated digital product offering, better pricing and greater flexibility for our customers.”

Ian Downes, Managing Director of CIB Post-trade Business Development at BBVA

Find out more

To discover how Sernova can benefit your firm, contact us today. One of our solutions specialists will be in touch shortly.