Our Syn∽® suite of solutions is designed specifically to automate middle and back office processing for banks and brokers. Tailored functionality helps deliver operational efficiency to simplify accounting and treasury and better manage risk across multiple asset classes and markets.
Control the entire pre-settlement lifecycle with automated trade repair, intelligent enrichment and rules-based exception management with GBST Syn∽TAC.
Manage post-trade clearing, settlement and asset servicing in real time across multiple asset classes, entities and markets from a single system using GBST Syn∽Ops.
Gain greater insight into your financial services business with our flexible, comprehensive GBST Business Intelligence Reporting (BIR) tool, which is fully integrated with all other GBST solutions right out-of-the-box.
With institutional trading being a mature market, the legacy systems that many U.S.-based broker/dealers continue to use are however not keeping pace with today’s quickly evolving technology and business requirements.
How GBST’s Composer® solution helped Aegon UK get its multi-channel commercial strategy off the page and out to market. Quickly, cost effectively and successfully.