MX.3 for banks

MX.3 for corporates

Gain unlimited capital markets capabilities.

Gain unlimited capital markets capabilities.

Large corporations use MX.3 to manage their treasury—this includes business activity funding, FX exposure and commodity risks monitoring, cash and settlement management, and hedge accounting. It also includes internal and regulatory compliance, such as European Market Infrastructure Regulation (EMIR) reporting.

Advanced funding and risk management

MX.3 ensures real-time delivery of enterprise exposure stemming from financial and physical sales and purchases. Corporates use the solution to rationalize funding, surpluses, and for risk management.

The platform provides a flexible global operating model. It helps to model a corporate body’s legal entities and organize central treasury as an internal clearer of risk. It provides funding, hedging and transaction processing to subsidiaries across geographies.

MX.3 offers a solution to hedge and manage FX, commodity and interest rate risks. Hedging strategies leverage the widest choice of products, comprehensive analytics and advanced risk dashboards and deliver richness expected by sell-side institutions.

Operational efficiency

MX.3 implements powerful business workflows that cover the full, cross-product trade life cycle, from price discovery to accounting.

Corporate risk policy setup, monitoring and enforcement is enabled by dedicated, rule-based pre- and post-trade compliance checks. An extensive list of market standard interfaces and reports is available to facilitate automation and external compliance.

Case studies