Post-Trade Processing
Our multi-asset trade processing solutions add unparalleled scale, efficiency, and accuracy to your global post-trade operations.
Maximize the value of every trade
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Add flexibility through multi-asset class, currency, and entry processing
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Create a global, real-time view of positions across asset classes
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Deliver a consolidated sub-ledger for your entire business
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Leverage robust analytics
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Eliminate manual trade entry
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Accelerate trade processing
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Improve operational efficiency and accuracy
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Transfer securities and funds quickly
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Strengthen liquidity management
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Reduce settlement risk
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Leverage built-in checks and detailed audits
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Comply with evolving regulations
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Mitigate potential compliance penalties
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Generate custom reports
Transform trading with straight through processing
See a real-time view of global positions, calculate P&Ls for multiple asset classes, and deliver a consolidated sub-ledger for the entire business.
Utilize a rules-based engine and best-in-class asset servicing across margin, corporate actions, cash processing, year-end, options, and day trading.
Tap into the leading solution for government bonds, corporate debt, and mortgage-backed securities. Add flexibility to scale into new global markets.
Automate clearing using a rules-based engine with global CCP connectivity. Manage risk, calculate commissions, and analyze exposure across the lifecycle.
Real-time processing of foreign exchange trades across every time zone. Process FX spot, forwards, swaps, digital currencies, and other instruments in real-time. Gain controls to manage sales, risk, and liquidity.
Increase liquidity and collateral mobility, drive greater operational efficiency, reduce counterparty risk, and realize millions in cost savings.
Explore Distributed Ledger Repo SolutionsReduce costs and risks with our advanced network for transaction processing and workflow management.
Explore SWIFT Market Solutions
Insights & perspectives
What's next for your business?
Post‑Trade Processing FAQs
Post‑trade processing at Broadridge refers to the middle‑and back‑office functions that support trade confirmation, settlement, asset servicing, cash management, reconciliation, and reporting across asset classes.
Broadridge post‑trade processing solutions are used by banks, broker‑dealers, asset managers, custodians, and other market participants that require scalable infrastructure to support global trading activity.
Broadridge helps firms manage post‑trade operational complexity by standardizing workflows, automating manual processes, and supporting regulatory and market infrastructure requirements across regions and asset classes.
Broadridge supports post‑trade processing across multiple asset classes, including fixed income, equities, and repo markets.
Yes. Broadridge enables firms to modernize your infrastructure and simplify the trade lifecycle, allowing you to move with real-time visibility and intelligence front-to-back, reducing cost and increasing efficiency.