Atoti Collateral Optimization

Atoti Collateral Optimization enables financial institutions to achieve a competitive advantage by efficiently managing and optimizing their collateral. As regulatory demands and interest rates rise, the need for effective collateral management becomes critical. With pre-built optimization algorithms and the flexibility to customize and enhance strategies, Atoti Collateral Optimization ensures short time-to-market deployment and scalability. It empowers firms to manage initial margin levels, forecast potential margin calls, and optimize collateral usage, ultimately reducing funding costs and enhancing profitability.

Solutions

Cross-Silo Optimization:

Real-time, firm-wide cross-asset aggregation to provide a consolidated view of collateral exposure and inventory, updated instantly with underlying data changes.

Non-Disruptive Integration:

Seamlessly integrates with existing systems, allowing firms to leverage current investments without the need for costly and time-consuming overhauls.

Advanced Analytics and What-If Scenarios:

Perform deep-dive analytics and instant ‘What-If’ analyses to evaluate alternative optimization strategies and improve the configuration of collateral inventory.

Real-Time Monitoring and Alerts:

Provides advanced real-time monitoring and event-based decision-making capabilities, ensuring informed and timely actions.