ZagTrader - Fund Management

ZagTrader ZagTrader is a specialized Financial Technology company and service provider that provides its clients in the brokerage, investment banking, capital markets, and asset management with sophisticated solutions to run their business effectively.
Block 12, F06, Dubai Knowledge Park Dubai, UAE
Phone: +971 4 433 4385
Welcome to ZagTrader Play Do not show this again.




The ZagTrader Fund Management solution provides an integrated solution that includes the Fund Management Module, OMS+EMS, FIX Bridge, Clearing, Settlement, Custody, Data and Price feeds. This allows the firm to meet all regulatory and systems requirements for a Fund Management business.

This will enable the Fund Manager to focus on directing the assets and portfolios using the latest and best tools in the industry and maximizing returns while managing transaction costs and multiple Fund products across the same strategy in real-time.

Fund Managers need a flexible product that can capture their workflow and help drive efficiency across their team, while providing sophisticated tools to manage their exposure.

The product provides the ability to implement an integrated experience between the Fund Manager, Trading, Middle Office, Back Office, Custodian and any external counterparty/provider. The portfolio management activities can be done through tight integration between the integrated OMS, an external OMS or multiple destinations.

Advantages

  • Real-time Fund reporting, attribution and risk analysis
  • Connect with thousands of brokers around the world across multiple routing networks
  • Handle multiple asset and share classes utilizing global data feeds
  • Integrated Order Management and Execution Management System
  • Corporate action, Distribution and Subscription/Redemption management
  • GICS integration with multiple views by sector, segment, geography or asset class
  • Auto rebalancing capabilities that directly pushes orders to the OMS
  • Transaction Cost Analysis (TCA) and Best Execution tools

Features

  • Efficient management of portfolios of different types and multiple structural views
  • Integrated Compliance and Regulatory reporting tools
  • Real time trade capture and STP
  • Pre-trade risk, Compliance and Exposure limits
  • Extensive reporting capabilities with multiple default and custom templates
  • Unit holder portal to allow for direct Client report and Subscription/Redemption requests
  • Ability to automate Investment, Middle and Back office workflows
  • Integration with EMSX, AUTEX, NYFIX, CRD and any other FIX/API connections
  • NAV calculation on a daily and periodic basis with multiple layers of accruals, fees and costs supported

Flexibility

  • Connectivity to Custodian, Prime Broker, Executing Broker, Administrator and legacy systems via FIX or API
  • Integrated with global Corporate Actions data feeds and automation of workflow for handling these events