FIS Cleared Derivatives Suite

Discover the strategic solution for post-trade derivatives processing

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A Real-time Solution for Post-trade Cleared Derivatives Processing

FIS® Cleared Derivatives Suite reimagines the post-trade middle and back office.

This next-generation offering has been designed to support both middle- and back-office functions across exchange-traded and OTC-cleared derivatives. It is a single, unified solution that covers all post-trade derivatives processing requirements, including trade clearing, reconciliations, position management, cash and collateral management, and margin calculations.

FIS Can Help

Increase your post-trade derivatives processing efficiencies and reduce total cost of ownership and operational risk.

Deploy Innovative Technology

Leverage new technology stacks, including APIs, event-driven architecture and “insert only” logic

Reflect the New Business Model

Rethink your operating model with a unified system for post-trade processing

Support New Requirements

Deploy the latest extended and modularized post-trade functionality based on your business priorities

Get to Know the Solutions

FIS® CD Collateral Manager is an Integrated solution for FIS' back-office modules that provides enhanced margin call processing. It deliver advanced workflow for insurance and tracking, customizable call calculation, and exception-based processing for all major CCPs and exchanges.

Benefits
Bring CCP funding and client margining together in one process
Proactively identify breaks so that you can focus on exceptions
Remove the risk of trades being rejected by the LCH
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FIS® CD Margin Advisor is a standalone solution for ad hoc margin calculations. It enables intraday transparency, real-time decision support, portfolio optimization and risk reduction.

Benefits
Real-time decision support for periods of violent market volatility
Hosted model reduces your total cost of ownership
Innovation and automation for greater transparency and efficiency
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FIS® CD Reconciliation Manager provides fully automated total equity reconciliations of exchange traded derivatives and OTC derivatives activity against exchanges, CCPs and clearing brokers.

Benefits
Reduced risk through control, auditability and reporting
Connectivity via extensive exchange and CCP interfaces
FIS’ reach of 135+ cleared derivatives markets in 35+ countries
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The next generation trade clearing middle-office solution offers an integrated yet modular model to cleared derivatives post-trade processing.

Benefits
Standardization across your CCP connectivity and clearing flows
Optimized STP to reduce your operational costs
Operational efficiency and control over exception management
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FIS® CD Books and Records Manager gives your back office real-time functionality, using advanced technology to increase automation, reduce TCO and increase operational efficiency.

Benefits
Unify functions for exchange-traded and OTC cleared derivatives
Deploy our cloud-native, next-generation technology stack
Increase control and mitigate risk with rule-based processing
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FIS® CD Brokerage Manager is a central brokerage rate repository and calculation engine that connects the middle and back office with the brokerage process, providing flexible reporting and workflow.

Benefits
Ensure stable clearing between brokerage, middle and back office
Improve efficiency and regulatory accountability on one platform
Streamline operations, increase transparency and reduce TCO
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FIS® CD Trade Allocator streamlines trade allocation and post-trade processing workflows, automates allocations, and provides a consolidated dashboard of orders, executions and allocations.

Benefits
Consolidate the processing of orders, executions and allocations
Automate allocations for STP in downstream processing
Use dashboards for client onboarding and improved servicing
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FIS® CD Clearing Market Data is a centralized repository of settlement data that standardizes data services across applications, improves data quality and streamlines your day-to-day operations.

Benefits
Automate processes to reduce operational risk and increase efficiency
Improve data quality and access data in a timely manner
Manage exchange and clearing fees on an automatic feed
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FIS® CD Position Manager automates netting position processing and spread claims, significantly improving reconciliation and closeout efficiency and margin optimization while reducing risk.

Benefits
Improve reconciliation and closeout efficiency and margin optimization
Increase efficiency and reduce risk with a single platform solution
Improve transparency with an easy-to-use, real-time dashboard
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