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Repurchase Agreements
Bringing automation to repos
The absence of electronic confirmation, allocation, and central matching functionality for Repurchase Agreement (Repo) transactions has created an inherent risk within the post trade environment. Operational efficiencies and service levels decrease as manual processes are employed. Omgeo recognized an industry need to automate the Repo trade process and worked with industry participants to support Repos on our proven Omgeo TradeSuiteSM and Omgeo OASYS-TradeMatchSM systems. This functionality went live with TradeSuite 7.0 and is also a component of TradeSuite 7.1.
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2, September, 2010
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 You’re a custodian bank...


You are looking to

Automate your Repo trade confirmations. Eliminate costly errors associated with manual and verbal communications, while growing your trade volumes with existing resources.

Our recommended solution is
Our Omgeo TradeSuite and Omgeo Central Trade Manager (Omgeo CTM) Settlement Notification offerings allow you to receive final trade details electronically in industry standard formats, so you can ensure that your data is correct in preparation for settlement. In addition, you can use Omgeo ALERT, our global database for standing settlement instructions, to electronically enter and update your fixed income settlement arrangements while notifying those affected by a change with a single electronic alert.

Products for Custodians
OASYS +
TradeMatch +
TradeSuite +


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