The cost of seeing risk too late
The power to act before exposure becomes a loss
Delayed exposure visibility
Prices and positions move while desk views lag behind.
Real-time positions & exposure
See changing exposure as markets and positions move.
Manual exception monitoring
Spreadsheet checks and inbox alerts allow exceptions to slip through.
Automated alerts & approvals
Surface exceptions immediately and route the right response.
Late limit-breach response
Static reports and manual escalations shrink the window to act.
Predictive risk forecasts
Anticipate emerging breaches while there is still time to act.
Fragmented risk views
Commodity, market and instrument exposures remain disconnected.
Unified market & instrument risk
Connect commodity, derivatives and financial exposures in one view.
Stale valuation insight
Decision-makers reconcile yesterday's numbers instead of today's risk.
Current valuation & analytics
Turn live prices and risk analytics into decision-ready reporting.
Retrospective stress testing
Simulating market shocks relies on yesterday's archives while active positions drift.
Instant scenario simulation
Stress-test active portfolios instantly against sudden geopolitical or macro shifts.
