SaaS FOR RISK

Spend time analyzing and interpreting,
not figuring out if your Excel file is still accurate.

A user-friendly to manage and analyze financial contracts.

Model loans, project finance, derivatives, and credit facilities

Book a demo

Actionable reporting at the click of a button

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Add custom data fields for more granular insights

Try it first

Fully compatible with your existing systems via our API

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Learn how to use our module to manage your contracts

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STEP 1

Set up
financial instruments

Setting up your instruments is a breeze. Choose to import your financial contracts or use our intuitive user interface to enter contracts by hand. Set custom data fields, add prepayment models, and enter any other information we need to generate the cash flows.

STEP 2

Generate
cash flows

After you set up your instrument, we handle the cash flow generation for you. We continuously test our models to ensure complete accuracy. Of course you can tweak the schedule after we generate the cash flows.

STEP 3

Analyze
cash flows

Create customizable reports to highlight and share insights from your instruments. Graph interest rate risks, prepare bookkeeping data, or download an event calendar so you are on top of your game.

Find out what’s in it for you.

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