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TWIN - Your Treasury and Asset Management AdvantageFeatured on this product list
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Tags: Treasury, Asset management, In-house banking, cash management, Foreign exchange, Equities, Overview
Logica Treasury & Asset Management provides solutions to the financial sector, including treasury functions at many of Nordic region’s major multinational corporations. We provide consulting services in the areas of development of software for financial control, Money Market, Fixed Income, Foreign Exchange, Equities, Commodities, Risk and Cash Management. Logica Treasury & Asset Management markets its own-developed software product TWIN for treasury management, internal (in-house) banks and Asset Managers.
Our business concept is, within the framework of the entire Logica’s business concept, and using Logica’s combined resources, to develop market, implement and maintain solutions and tools for the area of Treasury, Investment, Risk & Cash Management. We are committed to deliver product that gives its users benefit of being at the front line and get the job done better, faster and more comprehensively.
Our software embodies treasury industry best practice as well as IT know-how. This gives our clients a competitive edge and favorable results.
Logica Treasury & Asset Management is staffed by highly experienced professionals with background in banking, financial regulatory authorities, multinational corporate treasury, accounting, project management, networking and telecommunications, client/server development, database and web technologies, programming etc
Logica Treasury & Asset Management, and its predecessors, has been active in the area of developing software for treasury & cash management since 1982. Our current software product TWIN represents sixth generation treasury software developed by the company.
TWIN is...
...a state-of-the-art solution designed for active treasury and asset management in a global multi-site, multicurrency, multi-user and multi-instrument environment.
...a web-centric, on-line system, supporting straight through
processing (STP) to and from internal and external counterparties, other financial systems and e-marketplaces.
...a scalable solution that accurately analyses the risk exposure and performance of a trading room, treasury function or investment firm, for any portfolio, any security and all traded currencies.
…an operational tool to increase the efficiency of treasury & asset management processes.
TWIN...
...gives you instant surveys of the company’s present financial information flow and currency positions, in whole or in specific parts.
...consolidates heterogeneous, well-performing portfolios
...streamlines money market, foreign exchange and equity deals as well as deals in all traded currencies, the majority of all financial instruments and their derivatives.
...gives you a superior control and a better general outlook, healthier prognoses, and greater possibilities to exploit the fluctuations of the money market, the FX market and the equity market to your advantage.
...performs risk analysis in real-time, and makes the financial risks of your operations clearly visible.
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