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Phone

(403) 263-7475

Fax

(403) 263-2945

Email

RiskAdvisory@SAS.com

 
 
 

Energy marketers, aggregators, hedge funds and trading desks at financial services organizations, and others who drive the business by making margining decisions, need to manage the workflows associated with energy trading and risk management in a controlled business environment.

 

Whether traders are providing customer hedging services, trading arbitrage opportunities, or running market view books, they need a sound framework to manage this workflow, from the front office (deal capture, limits checking, position monitoring), to the middle office (risk reporting, compliance with policies and procedures), to the back office (settlement and invoicing).

 

RiskAdvisory’s energy risk solutions, as an integrated suite or operating as independent modules, give these firms the tools to work with the full range of financial instruments and manage inventory, weather, geopolitical and other supply and demand risks that impact the execution of their strategies.

 

The SAS BookRunner suite’s unsurpassed data integration tools give financial institutions and hedge funds the confidence that their trade data is accurately entered into risk management systems – and that they can rely on the reports and dashboards generated by these systems as they keep pace with fast-moving markets. Users can configure a variety of business controls that ensure the support of industry best practices for Sarbanes-Oxley compliance, hedge accounting rules, other government regulations, and proper segregation of duties.

 

Features include:

 

Mark-to-Market

Value-at-Risk

P&L reporting

Confirmations

Audit reports

Credit & collateral management

 Margining

Settlement

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