Atoti Collateral Optimization

Atoti Collateral Optimization enables financial institutions to achieve a competitive advantage by efficiently managing and optimizing their collateral. As regulatory demands and interest rates rise, the need for effective collateral management becomes critical. With pre-built optimization algorithms and the flexibility to customize and enhance strategies, Atoti Collateral Optimization ensures short time-to-market deployment and scalability. It empowers firms to manage initial margin levels, forecast potential margin calls, and optimize collateral usage, ultimately reducing funding costs and enhancing profitability.

Key Features and Benefits

Cross-Silo Optimization:

Real-time, firm-wide cross-asset aggregation to provide a consolidated view of collateral exposure and inventory, updated instantly with underlying data changes.

Non-Disruptive Integration:

Seamlessly integrates with existing systems, allowing firms to leverage current investments without the need for costly and time-consuming overhauls.

Advanced Analytics and What-If Scenarios:

Perform deep-dive analytics and instant ‘What-If’ analyses to evaluate alternative optimization strategies and improve the configuration of collateral inventory.

Real-Time Monitoring and Alerts:

Provides advanced real-time monitoring and event-based decision-making capabilities, ensuring informed and timely actions.