Company Overview
A post-trade solutions specialist, SLIB is a leading securities software provider and a trusted partner to the financial services industry.
SLIB CMS (SLIB Clearing Management System) provides all the functions needed to manage a cash and / or derivatives clearing activity in interaction with LCH. Clearnet SA Cash & Derivatives Clearing Systems.
SLIB CRMS (Clearing Risk Management System) is an innovative tool that addresses these issues at several levels. It helps you calculate margin requirements and margin calls on your clients in all the principal CCPs in Europe.
SLIB Custody is for Account Keepers, Asset Managers and Custodians, to help keep their clients’ accounts and keep flow and stock accounts with depositaries (NOSTRI).
SLIB Fees Engine is an open tool designed to manage your various fees according to the typology of your clients, private individuals or institutions. The SLIB Fees Engine is fully configurable and can model and calculate all the prices for your establishments in real time.
SLIB offers Custodians a wide range of regulatory reports with its SLIB Legal Reporting solution. These reports are intended for affiliation, trusteeship or control organizations, like the Banque de France, the national tax office or the banking commission.
SLIB Matching guarantees a perfect consistency between your market activity and your client allocations. This process highlights any detected discrepancy, to enable your back office to make the necessary adjustments on exceptions.
SLIB OMS is an order management system designed for Broker‐dealers and Asset managers who want to increase the security of their order management and automate order flows according to predefined routing rules.
SLIB P&L enables calculation and restitution of the latent and firm profits/losses recorded in your technical management accounts: trader account, difference account, error account, etc.
SLIB Payments is for Account keepers and Custodians wanting to offer their clients payment services in addition to their traditional account management and safekeeping activities.
SLIB Portfolio Manager covers all portfolio management processes in STP: position analysis, simulations, re‐balancing, compliance management, order processing and execution.
Should you manage assets for third parties, SLIB Reconciliation provides you with a solution that helps to monitor depositary stocks in an efficient manner.
SLIB Settlement centralizes all Settlement instructions into a single hub to simplify the management, monitoring and coordination of these instructions, regardless of their origin and the communication mode of those involved.
VOTACCESS is an information system that automatically collects correspondence voting instructions sent by shareholders of listed companies before a General Meeting (GM) is held. SLIB was chosen by AFTI (Association Française des Professionnels des Titres) to develop, manage and operate this infrastructure in France.