Margin and Collateral Knowledge Hub
Collateral Optimization: Increasing returns & improving liquidity preparedness
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Solutions
Asset Management
Enhance Fund Performance by Minimizing Drag from Margin and Collateral Costs
Hedge Funds
Predict, reconcile and forecast margin & lower funding costs by optimizing collateral
Pension Funds
Reduce margin exposure & ensure collateral resilience within your liquidity framework
Commodity Firms
Manage fluctuating margins and ensure collateral liquidity in volatile financial markets
Clearing Brokers
Enhance client services with on-demand margin calculation, ‘what-if’ analysis, and reporting tools
Prime Brokers
Dynamically manage your clients’ margin with powerful exposure management and reporting tools
Want to talk to us? Get in touch.
Key Goals
- Minimize margin exposure
- Manage collateral liquidity and risk
- Achieve regulatory compliance
- Maximize collateral resilience
- Reduce carry cost.
Client Testimonial
“Cassini’s collateral optimization tools have streamlined our operations and elevated our liquidity risk management practices. Immediate cost reductions and strategic collateral allocation have unlocked new revenue streams, bolstering our profitability. Their hands-on approach exceeds standard vendor-client relationships, which empowers us to thrive when working towards ever-moving goalposts.”
Head of Collateral Management
Large Pension Fund
Our Locations
London
78-83 Upper Thames Street
London
EC4R 3TD
T +44 20 7031 5730
New York
530 Seventh Avenue
Suite 1207
New York
NY
10018
T + 646 443 6601
Sydney
3 Spring Street,
Sydney
NSW
2000
T +61 2 9037 3521
Singapore
61 Robinson Road
Level 06-01
61 Robinson
Singapore 068893
T: +65 9468 8436
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