Anvil - global repo, securities finance and managed lending
Anvil is the most popular front and middle office trading system for international repo and security finance and managed lending. Anvil is used by banks, investment banks, asset managers, custodians, agency lenders and exchanges and is installed in all the world's major financial centres.
Unlike any other repo and securities finance system, Anvil has been designed by traders for traders. Anvil allows you to trade faster, more efficiently and in greater volumes.
Anvil is a world-leader because of the outstanding functionality that is fundamental to both the repo and securities finance markets:
- Real-time, multi-entity, configurable global position /inventory management
- Trade capture/execution in real-time
- Connectivity to electronic markets
- Order Management for trading on multiple electronic exchanges
- Sophisticated Risk and Collateral Management
- Flexible reporting, including P&L
- Real-time Compliance - credit limits, legal agreement checking
- Real-time margin monitoring
- Straight Through Processing to middle/back offices
- Sophisticated ease of use features
- Comprehensive market coverage
- Highly scalable - use it for a single trader at one site, or for dozens of traders in many locations around the world
Anvil's flexibility lets you take the repo or the securities finance modules separately. Or using both you can have the best trading system for repo and securities finance for total collateral management.