Origami Risk
Risk Management Software
Origami Risk is a comprehensive cloud-based platform designed to help you manage risk, insurance, and safety programs from a single point of entry. In
Orchestrade is a cross-asset trading and risk management platform providing real-time portfolio monitoring, compliance tracking, and automated middle-to-back office workflows for financial institutions and investment managers.
Main Demo Video
Orchestrade provides you with a unified platform to manage the entire lifecycle of your financial instruments across all asset classes. You can move away from fragmented legacy systems and consolidate your front-to-back office operations into a single, real-time environment. This allows you to monitor market risk, track credit exposure, and manage complex derivatives with high precision and transparency.
The platform streamlines your daily operations by automating trade processing, valuations, and regulatory reporting. Whether you are a hedge fund, asset manager, or a large bank, you can scale your trading volumes without increasing operational overhead. It helps you maintain strict compliance and provides the agility needed to launch new products quickly in a changing market.
Main dashboard with project overview
Kanban-style task management
Gantt chart timeline view
Workflow automation builder
Stop struggling with disconnected trading tools. Orchestrade gives you a cohesive environment where risk, operations, and compliance work together. You can gain total visibility into your portfolio with these core capabilities:
Manage everything from simple equities to complex structured products and derivatives within a single, unified system.
Monitor your Greeks, Value-at-Risk (VaR), and stress tests instantly as market prices move throughout the day.
Automate your trade confirmations, settlements, and corporate actions to reduce manual errors and operational risk.
Stay ahead of regulations like MiFID II and EMIR with built-in reporting tools and automated limit checks.
View your entire investment landscape in real-time with customizable dashboards that show P&L and exposure.
Optimize your margin requirements and manage collateral across all your counterparties from one central hub.
Orchestrade uses a custom pricing model tailored to your specific trading volume, asset class complexity, and deployment needs. You won't find a one-size-fits-all price because the platform is configured to match your institutional requirements. You can request a personalized demo to discuss your firm's goals and receive a detailed quote.
Based on feedback from institutional users and industry analysis, here is what you should consider when evaluating Orchestrade for your firm:
Perfect for hedge funds, asset managers, and Tier 1 or 2 banks needing a modern, cross-asset risk and trading platform.
Orchestrade is a top-tier choice if you need to replace aging, fragmented trading systems with a modern, high-performance platform. You get unparalleled visibility into your risk and a streamlined path from trade execution to settlement.
While the investment is significant and the setup requires dedicated resources, the operational efficiency you gain is substantial. Highly recommended for institutional players who prioritize real-time data accuracy and need to manage diverse asset classes in one place.
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Main dashboard with project overview