Services

What will AGI do for Management of financial market and clearing services?

This subclass comprises the provision of an infrastructure for trading securities and commodity contracts; and clearing and settlement services for securities, commodities contracts, and payments. Covers trades executed on exchanges or over-the-counter, and clearing and settlement services for those trades.

The work itself

Grounded Work Profile

Tools

  • Member Onboarding SystemserviceBlueprint
  • Matching EngineserviceBlueprint
  • Clearing SystemserviceBlueprint
  • Risk Management SystemserviceBlueprint
  • Settlement SystemserviceBlueprint
  • Regulatory Reporting SystemserviceBlueprint
  • Market Data Distribution PlatformserviceBlueprint

Outputs

  • Trade Confirmation RecordserviceBlueprint
  • Settlement Instruction FileserviceBlueprint
  • Market Data FeedserviceBlueprint

Measured by

  • Settlement Finality RateserviceBlueprint
  • System UptimeserviceBlueprint

Key steps

  • Onboard market participantsserviceBlueprint
  • Match orders on the venueserviceBlueprint
  • Novate and net tradesserviceBlueprint
  • Manage margin and collateralserviceBlueprint
  • Settle cash and securitiesserviceBlueprint
  • Report trades to regulatorserviceBlueprint
  • Publish market dataserviceBlueprint

How AGI delivers it

Four ways AGI delivers for Management of financial market and clearing services

  • 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 Management of financial market and clearing services connects

absorbs

  • Counterparty Risk Managementmodel
  • Trade Settlementmodel

composes

measured by

  • Settlement Finality Ratemodel
  • System Uptimemodel

optimizes

  • Clearing Latencymodel
  • Settlement Throughputmodel

produces

  • Market Data Feedmodel
  • Settlement Instruction Filemodel
  • Trade Confirmation Recordmodel

realizes

  • Manage margin and collateralmodel
  • Match orders on the venuemodel
  • Novate and net tradesmodel
  • Onboard market participantsmodel
  • Publish market datamodel
  • Report trades to regulatormodel
  • Settle cash and securitiesmodel