Streamline EMIR, MiFIR, ASIC, CySEC, and FCA reporting with automated trade log export, RTS 27/28 best execution reports, and seamless trade repository integrations.
Eliminate operational guesswork with automated transaction reporting scheduled directly to regulatory trade repositories.
Automatically generate and transmit XML/CSV transaction logs formatted strictly to ESMA and FCA trade repository requirements.
Calculate slippage distribution, price quality benchmarks, and top 5 execution venue disclosures required by European regulators.
Set cron schedules to compile and deposit transaction files directly into trade repositories or compliance FTP servers.
Immutable cloud storage archiving all historical client order lifecycle events, timestamps, and execution prices for regulatory audits.
Validate mandatory LEI codes, client identifiers, and ISIN formatting prior to submission to prevent ARM rejection penalties.
Generate tailored compliance reports for FSC, VFSC, FSA Seychelles, CIMA, and South Africa FSCA regulatory bodies.
Connect your brokerage CRM and trade history to automated compliance reporting engines in under 24 hours.