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TCS BaNCS Global Securities Processing Platform

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Overview

TCS BaNCS Global Securities Platform is a single consolidated solution that comes with comprehensive functionality encompassing the entire capital markets value chain, helping both buy-side and sell-side firms implement robust, error-proof, STP-enabled, highly-scalable processes for trade processing, clearing and settlement, custody, portfolio accounting and corporate actions administration. Deployed across more than 100+ countries, the TCS BaNCS Global Securities Platform is one of the largest collection of components made available through the cloud, helping firms become more agile and intelligent by leveraging the power of new and extended ecosystems.

Firms can benefit from a robust Digital Core that captures the right data to address market and technology risks. The solution ensures superior client servicing across multiple digital channels, as well as timely decision-making to reimagine workspaces. With the TCS BaNCS Global Securities Platform, your financial institution can create a niche and differentiated value proposition for end-client servicing and operations -- be it through the extraction of right data to reimagine the operations workspace or the use of cognitive technologies such as AI, Machine Learning, predictive analytics for enhanced automation, intelligent insights and predictions.

Key Features

  • Clearing: Offering caters to requirements of clearing members for clearing client trades across markets including OTC products.
  • Brokerage: Integrated Front to Mid to back-office solution for multiple asset classes, real time connectivity to markets and partner brokers across the trade lifecycle
  • Wealth Management: Complete wealth management solution for servicing mass affluent & HNI customers.
  • Securities Lending: Positioned as a component along with Custody, enables end-to-end life cycle processing of securities lending & borrowing transactions., including Inventory, Collateral & Marks management
  • Asset Management: Flexible & scalable real time fund accounting solution which accommodates a wide range of asset classes and fund structures. H
  • Asset Servicing: Industry leading, SWIFT accredited solution that automates enterprise wide end to end processing of corporate actions for a comprehensive range of event types and markets
  • Custody: Cater to multiple markets with a multi-entity solution enabling bundled services to clients for local, regional & global custody in same instance.

Key Benefits

  • A scalable and integrated front- to mid- to back-office platform supporting trade management, clearing, settlement and real time accounting
  • A post-trade solution that supports a single securities back-office across both retail and institutional broking for multiple asset classes including derivatives
  • A strong Digital Core which uses the ‘right data’ across the value chain to unlock game-changing insights, KPIs and predictions
  • Automation, through the use of cognitive technologies like AI, ML and advanced analytics
  • Multi-X features including multiple legal entities, languages, business lines, asset classes, markets and geographies in a single application