Capital Markets
Capital markets players need to be agile to respond to today’s fluid financial markets. The ability to harness change, uncertainty and risk is what keeps companies agile.
Clarity 6 has been implemented at leading capital markets institutions such as Fortress Investments and Merrill Lynch.
This starter kit provides features to manage the following:
- Brokerage efficiency
- Asset book
- Liquidity and cash flow projections
- Compliance reporting
- Incentive compensation planning
- Risk management
Brokerage Efficiency
Clarity 6 analyzes each step in the trade execution cycle. It provides scorecards and alerts that tell decision makers where efficiencies can be found whether it is at the trading desk or the settlement desk or in between. Analysis can be as detailed as needed including instrument type, settlement category, currency, and transaction time.
Asset Book
Clarity 6’s ability to store and display data and text allows it to generate asset books that explain the investment overview, the issuer or company description, exit strategy, capital structure, collateral, covenants and the current status of the investment and display the income stream associated with the investment.
Liquidity and Cash Flow Projections
Clarity 6 can automate the reporting of liquidity and cash flow projections. The reports show each investment’s net asset value, total future cash flow, future cash flow by year and projected IRR or yield.
Compliance Reporting
Clarity 6’s comprehensive audit trail and validation routines allow the company to be in compliance with Myners Report in the UK, Sarbanes-Oxley in the US and other regulations.
Incentive Compensation Planning
Clarity 6 supports complex compensation variables allowing you to model how changes in your compensation structure and product mix affect compensation payouts.
Risk Management
Clarity 6 consolidates data from your risk management systems to provide standardized and dynamic reports for your senior management and risk managers.






