SpeciOption offers a way to manage the cycle of the FX options trade from the initial input to the booking into the core banking system.
The scheduler on SpeciOption tracks the events occurring on the trade: opening, closing, exercise and abandon, hit.
Traders can load their term sheets into the system to quickly define the contracts.
Alerts are generated when the barriers are hit.
Aims to follow all the forms of the client :
- Input strategy
- Generate trade
- Cashflow schedule with events and alerts
- Strategy simulation
- Strategy workflow validation
- Term sheets
- Linked to the core banking system
- General overview of the trades
ClientsBanks, Family offices
CategoriesForex options, booking
Project BudgetContact us
PlatformWindev/Weddev/.Net, SQL server