Institutional stockbrokers
Global investment banks
Prime brokers
Third party clearers
Agency clearers
Custodians
Multi entity, multi currency
Real-time updating
Support for third party systems
Comprehensive reporting
The Syn
Ledger is a multi entity, multi currency trading ledger designed to store cash postings and maintain cash account balances derived from securities trading activity. All
Syn
BackOffice cash postings will be delivered to Syn
Ledger via a real-time interface.
The Syn
Ledger system has been designed to be scalable in order to meet the demands of high volume trading activity.
Although typically the ledger will be fed from one or more instances of Syn
BackOffice, the ledger will also accept postings from a non- Syn
settlement system if required. Furthermore, the resultant transactional postings and/or account balance data can then be published to a corporate general ledger.
