TPG Software
TPG Software offers investment management solutions tailored for financial services, focusing on compliance and efficiency in investment processes.
Need help?
We can help you find specialists for TPG Software. Let us connect you with the right experts to assist you.
*User registration required
Description
TPG Software provides comprehensive investment management solutions designed specifically for the financial services industry. The software addresses critical processes such as investment accounting, compliance and risk management, funding and liquidity management, and post-trade processing. TPG Software serves a range of sectors, including banks, credit unions, broker-dealers, investment managers, and public utilities.
Key functionalities include:
- Investment Accounting: Streamlines accounting processes to ensure accurate reporting and compliance with regulatory standards.
- Compliance and Risk Management: Tools designed to monitor and ensure compliance with both internal policies and external regulations.
- Funding and Liquidity Management: Solutions that aid in managing liquidity, ensuring that funds are utilized efficiently.
- Settlement and Post-Trade Processing: Facilitates smooth settlement operations and post-trade activities, reducing operational risks.
- Client Safekeeping: Manages safekeeping of client assets with robust security measures.
- Derivatives and Collateral Management: Handles complex financial instruments and collateral requirements effectively.
- Reconciliation Management: Ensures that records are accurate and discrepancies are addressed promptly.
- Cash and Securities Management: Provides tools for managing cash flows and securities holdings efficiently.
User-friendly applications such as Workstation and Trader enhance accessibility and efficiency, allowing users to manage portfolios and capture trades seamlessly. TPG Software is committed to helping financial institutions streamline their operations while maintaining compliance and enhancing overall productivity.
Features
Investment Accounting
Streamlines accounting processes for accurate reporting and compliance.
Compliance and Risk Management
Tools for monitoring compliance with internal and external regulations.
Funding and Liquidity Management
Assists in efficiently managing liquidity to optimize fund utilization.
Settlement and Post-Trade Processing
Facilitates efficient settlement operations and post-trade activities.
Client Safekeeping
Offers secure management of client assets with advanced security measures.
Derivatives and Collateral Management
Manages complex financial instruments and collateral requirements.
Reconciliation Management
Ensures record accuracy and addresses discrepancies promptly.
Cash and Securities Management
Provides tools for efficient management of cash flows and securities.
Tags
Documentation & Support
- Documentation
- Support
- Updates
- Online Support