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Collateral Management

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Category: FinOps Tooling

Description

Elwood's Collateral Management module addresses fragmented margin visibility that arises when trading desks deploy collateral across multiple exchanges, custodians and counterparties without centralised oversight, resulting in trapped capital, manual balance tracking, delayed liquidation alerts, over-collateralisation and disconnected risk/collateral systems. It provides centralised balance visibility, real-time margin monitoring with instant alerts, cross-venue capital allocation tools to surface trapped or excess collateral, alignment of collateral data with portfolio exposures and risk metrics, automated tracking of transfers and funding activity, and a standardised, normalised collateral data layer for consistent reporting across trading, risk and operations teams. It is integrated across the full trading workflow (pre-trade, execution and post-trade), supports multi-venue tracking including off-exchange custodial arrangements, and is distinguished from Elwood's separate Risk Management System (a quantitative market-risk toolkit) by its focus on operational risk and capital efficiency, serving institutional trading desks, asset managers and derivatives-focused firms in digital asset markets.

Technology & Skills

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