Compliance issues continue to be at the forefront of the investment industry and compliance professionals are being asked to carry a heavier burden than ever before.
Whether you are an institutional or alternatives investment manager or a pension fund, there are numerous compliance challenges you are facing. In addition to the regulatory developments such as Dodd-Frank Financial Reform Bill, UCITS IV, Solvency II and AIFMD, there are increasing costs due to registrations and complying with these registrations. Additionally you are challenged with increased oversight, complex monitoring of data, investor demand for greater transparency – the list goes on.
No matter the challenge you face, Linedata Compliance is the solution that will help you address them today and into the future.
Used by some of the world’s largest hedge funds and asset managers, Linedata Compliance delivers comprehensive, fast, integrated compliance monitoring across all assets, markets and locations. Our platform filters through massive amounts of data to get you the information you need, where and when you need it.
Linedata Compliance is a global, enterprise-wide compliance monitoring and breach management solution that focuses on simplifying the complex business requirements and workflows of portfolio managers, traders and compliance officers. The robust, real-time system offers advanced pre- and post-trade compliance checking, comprehensive monitoring and flexible reporting capabilities across all markets, regulatory agencies and asset types.
This solution is available for both Alternative and Institutional Investment.
Click here if you are interested in Linedata Compliance for Alternative Investment
Click here if you are interested in Linedata Compliance for Institutional Investment