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Allocate market executions among clients |
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Combine market executions into system-trades as per client's preferences |
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Prepare and print contracts |
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Generate obligation statements (fanfolds) for settling client-side obligations |
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Upload market-side delivery orders (at the end of a settlement's trading cycle) against which market-side obligations need to be settled |
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Generate various reports for MIS purposes |
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Generate exhaustive statutory reports to be submitted to the exchange authorities |