Our latest release includes a new feature in our Reconciliation page and a host of refinements across the system, including in our Hedge Fund Order Management Software. Check them out below:
- Users can now see cash transactions under the new feature ‘Cash Reconciliation’, on the Reconciliation Tab.
- Limit values can be amended after submitting a Limit Order.
- Attribution on a percentage basis can be seen in the new added column ‘Attribution % (Base)’.
- The Reports Distribution page will allow you to fetch multiple reports and merge the reports in your required order.
- Speeds for trade processing via Trade Import have been increased.
- Cash transfers to the same accounts can be done with different books and strategies.
- The addition of a value list will allow us to exclude FIX messages for particular accounts.
To find out more about our Hedge Fund Order Management Software, or any of the other software mentioned above, check out our products page.