Services

What will AGI do for Brokering and dealing products, futures contracts, exchange-traded?

Brokering and dealing futures contracts on exchanges.

The work itself

Grounded Work Profile

Tools

  • Client Onboarding SystemserviceBlueprint
  • Pricing And Risk EngineserviceBlueprint
  • Order Management SystemserviceBlueprint
  • Exchange GatewayserviceBlueprint
  • Clearing SystemserviceBlueprint
  • Margin Management SystemserviceBlueprint
  • Trade Reporting SystemserviceBlueprint

Outputs

  • Trade ConfirmationsserviceBlueprint
  • Margin StatementsserviceBlueprint
  • Position ReportsserviceBlueprint

Measured by

  • Best Execution ComplianceserviceBlueprint
  • Settlement TimelinessserviceBlueprint

Key steps

  • Onboard And Assess SuitabilityserviceBlueprint
  • Set Margin And LimitsserviceBlueprint
  • Route Order To ExchangeserviceBlueprint
  • Execute On ExchangeserviceBlueprint
  • Clear Through Clearing HouseserviceBlueprint
  • Manage Daily MarginserviceBlueprint
  • Confirm And Report PositionserviceBlueprint

How AGI delivers it

Four ways AGI delivers for Brokering and dealing products, futures contracts, exchange-traded

  • Services-as-Software

    Get the professional outcome delivered as software, priced on results, not headcount.

    Services.do
  • Autonomous Agents as digital employees

    Hire a digital employee that does the job under earned, supervised autonomy.

    Agents.do

Value flow

How Brokering and dealing products, futures contracts, exchange-traded connects

absorbs

  • Daily Margin Settlementmodel
  • Exchange Order Executionmodel
  • Exchange Order Routingmodel
  • Margin Funding Managementmodel

composes

  • Account Onboarding Systemmodel
  • Clearing Systemmodel
  • Client Onboarding Systemmodel
  • Exchange Gatewaymodel
  • Execution Management Systemmodel
  • FIX Order Gatewaymodel
  • Margin Calculation Enginemodel
  • Margin Management Systemmodel
  • Order Management Systemmodel
  • Pricing And Risk Enginemodel
  • Securities Settlement Systemmodel
  • Trade Reporting Systemmodel

measured by

  • Best Execution Compliancemodel
  • Margin Call Accuracymodel
  • Order Routing Latencymodel
  • Settlement Timelinessmodel

optimizes

  • Collateral Efficiencymodel
  • Commission Costmodel
  • Execution Qualitymodel
  • Execution Speedmodel
  • Fill Ratemodel
  • Order Latencymodel
  • Slippagemodel

produces

  • Daily Settlement Reportmodel
  • Margin Statementmodel
  • Margin Statementsmodel
  • Position Reportsmodel
  • Position Statementmodel
  • Trade Confirmation Recordsmodel
  • Trade Confirmationsmodel

realizes

  • Calculate And Call Marginmodel
  • Capture Exchange Ordermodel
  • Clear Through Clearing Housemodel
  • Confirm And Report Positionmodel
  • Execute On Central Limit Order Bookmodel
  • Execute On Exchangemodel
  • Manage Daily Marginmodel
  • Novate Trade To Clearinghousemodel
  • Onboard And Assess Suitabilitymodel
  • Onboard And Set Margin Accountmodel
  • Route Order To Exchangemodel
  • Set Margin And Limitsmodel
  • Settle Daily Variation Marginmodel