Margin and Collateral Knowledge Hub

Collateral Optimization: Increasing returns & improving liquidity preparedness

Margin & Collateral Intelligence

Visibility and control over margin, liquidity, and collateral cost across the trade lifecycle.

Calculate exposure comprehensively across all asset classes at any time.

Analyze cost impacts pre-trade effectively with integrated ‘what-if’ tools.

Attribute costs based on the driver of margin and collateral requirements.

Reduce margin levels and optimize collateral assets for cost and liquidity.

Forecast exposure and liquidity under stress scenarios.

Integrate into all leading OMS, EMS, and collateral systems for easy access.

Intelligence driven – Our analytics help all users of derivatives improve returns and reduce operational risk.

Multi-strategy Hedge Fund raised unencumbered cash levels by $80m

Global Asset Manager saved $4m in funding charges using pre-trade margin to identify their optimal trading route

A Global Energy firm optimized its Margin Strategy and reduced IM by 47%

Annual savings from using algorithmic collateral optimization, rather than a waterfall approach

FCM saved 3 headcounts by automating EOD margin statement production and margin checks for onboarding clients

A Prime Broker’s estimated annual savings from onboarding Cassini vs. building and maintaining an in-house solution

Validate margin requirements

Amidst market volatility, validating margin requirements is essential.

Manage collateral and liquidity risk

Cassini paves the way for proactive risk management strategies.

Achieve regulatory compliance with confidence

Our expert solutions streamline processes and enhance readiness.

Maximize collateral resilience

Our tailored analytics bolster collateral management.

“We partner with Cassini to help clients more efficiently manage their margin by leveraging analytics at multiple points during the derivatives lifecycle.” - Head of the Aladdin Business, Blackrock

Market movements: No margin for error

Collateral Resiliency: 3 Ways Pre-trade Analytics Can Address Risks for the Buy Side

Maximizing returns while minimizing risk: the buy side’s path to collateral optimization

The PSA Clearing Mandate Exemption has ended: What does this mean for pension funds?

The Role of Margin Management in Reducing the Cost of Trading

Our technology is seamless but, most of all, secure.

Being an ISO 27001 certified and SOC-2 compliant technology firm, Cassini holds the foremost industry benchmarks in information security. No matter the chosen functionality or preferred deployment approach, you can trust Cassini to ensure your data’s perpetual safety and security.