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description
A solution which covers the fields of Brokerage and
Asset management.
A solution which covers the fields of Brokerage and Asset
management.
As many brokers have extended their activity to portfolio
management we have decided to integrate two of our software
products
- CONCEPT Broker and
- CONCEPT Portfolio
in order to improve the management of the two trades
by facilitating as much as possible the relations among
the various departments while preserving essential separations
at several levels.
For example:
- Management of the orders.
- Securities accounting
- Financial accounting
- etc
Front Office
- Management and recording of stock exchange orders.
- Capture of transactions requiring compulsory information.
- Calculation of fees, expenses, various taxes, etc.
- Online monitoring of positions (trading and investments).
- Online calculation of profits and losses.
- Trader-to-trader transfers.
- Various statistics etc
Mid Office / Back Office
- Automatic transfer from the Front office.
- Checklists of errors.
- Automatic sending of fax, telex or e-mail by automatic
reply.
- Automatic instructions of deliveries/settlements
- Fixed term deposits, forex, splits, conversions etc.
- Register keeping (for example in Switzerland negotiation
stamp).
- Automatic charging in the financial accounts
Control/Management reports
- Cash flow statement by currency and banks.
- Statistics by customers/traders.
- Results by customers/counterparts/traders for a given period.
- Risk management by counterpart (unpaid transactions…)
etc
Financial Accounting
Due to its flexibility, this solution allows parameterizing
of account charts and is suited to keep the accounts of any
type of entity, whatever their jurisdiction or legal form.
This program enables you to keep your own accounts as well
as accounts of entities managed on behalf of customers.
It consists of a basic module and various options such as :
- Multi-company
- Multi-currency
- Multi-layout
- Current account
- Interest calculation
- Budget
- Consolidation
- Contract management
- Data export
CONCEPT FINANCE / BASIC MODULE
- Table of result:
- Free layout of the results: The user can structure his
according to his wishes, with his own totals, sub-totals,
comparisons, ratios, etc
- Chart of accounts:
- Multinational, not tied to any legislation, neither
with regard to the account structure nor to the chart
of accounts or to the layout of the results
- Accounts:
- Length and structure of the accounts entirely configurable,
company by company. An account may comprise from four
to 15 alphanumerics and may be subdivided into two or
three subsidiary accounts
Example : 1000.USD.01
- Possibility of naming accounts in two languages
- Management of entries :
- Simple or multiple entries with an unlimited number
of transactions on the debit as well on the credit side
- Automatic reminder of standard namings
- Automatic cancelling of simple or multiple entries
- Possibility of lettering.
- Budget:
- Periodical budget which can be captured on the level
of each account or of the results table
- Queries:
- Many types of queries e.g. by posting date/value date/voucher
or entry’s number/letter/accounts, etc.
- Printing :
- Printing available in many different forms (ledger,
balance, etc.) according to various criteria.
- VAT:
- Calculation of the VAT or similar taxes and automatic
charging on the accounts "VAT due" or "preliminary
tax". while making entries.
- Management according to the system of agreed or received
benefits.
- Drawing up results (balance sheet, P&L account):
- Calculation of the balance sheet according to entry
date or value date.
- Multi-period, possibility of printing and of recalculating
results retroactively.
- Closing/Clearing:
- Closing and emptying entries with fully automatic forward
carrying
MULTI-COMPANY
- Unlimited number of companies.
- Possibility of creating a new company by copying source
data of an existing company (Chart of accounts, table of results,
currencies, etc.)
MULTI-CURRENCY
- Free choice of the basic currency.
- Method of accounting according to two processes:
- foreign currency holdings
- Possibility of keeping indefinitely previous exchange rates
- Data capture of simple and multiple entries with trasactions
in several currencies.
- Automatic calculation of the results of exchange
- Possibility of calculating and breaking down the results
of exchange by currency or by account.
- Automatic charging of revaluation entries
- Display at any time of the currency holdings and of the
results of exchange not yet
placed in the account
- Possibility of updating rates of exchange
- Cross rates calculation
MULTI-LAYOUT
- The program enables simultaneous publishing of the results
according to the legislations of several different jurisdictions
and/or in many languages.
- Possibility of showing the results in various currencies.
CURRENT ACCOUNTS
- Integration of accounts of books kept for third parties
by grouping in centralisation accounts
- Publishing the balances of third parties
INTEREST CALCULATION
- Automatic calculation of the interests according to nine
different methods.
- Possibility of readjustment in the event of modification
of rates relating to a period which has already been ended
- Determination of interest rates per account or currency.
BUDGET
- Capture of the budget in a summary table.
- Annual or periodical budget
- Result trend
- etc.
CONSOLIDATION
- Possibility of consolidating companies having different
basic currencies.
- etc.
CONTRACT MANAGEMENT
- Possibility of determining the result of a contract with
budgetary back query and
comparison (useful in particular for trading companies).
DATA AND EXPORT
- Possibility of exporting data (results, entries, statement
of accounts) to a
spreadsheet (Excel TM, etc).
Securities accounting
Securities accounting is a module complementary
to financial accounting. It enables the user to:
- Link one or more security portfolios to specific accounts.
- Keep inventory of the positions by depositary location.
- Calculate for each one of the positions the cost price
at purchase as well as in the currency in which the security
has been issued as in the basic bookkeeping currency.
- Bring out automatically at the time of each transaction
the result (gain or loss of the transaction and the exchange
balance).
- Generate and record automatically entries in the financial
accounting.
- Estimate periodically portfolios and display results which
have not yet been realised, with the option of entry into
the accounts etc
This module enables you to make estimates in different currencies
as well as to carry out various analysis.
Some other options which can be added, are:
- Management of fiduciary placement and loans
- Management of FOREX (Spot, Forward, Swap).
- Management of coupons and dividends.
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