Ambit Liquidity Optimization
SunGard’s Ambit Liquidity Optimization is a suite of treasury management, asset-liability management and reconciliation software solutions to help banks manage their cost of cash. By minimizing the impact of cautious liquidity reserve strategies on return on equity (ROE), the Ambit Liquidity Optimization solution suite enables banks to gain a clear view of their cost of cash – meeting not only regulatory requirements but also profit, growth and ROE objectives.
The Ambit Liquidity Optimization solution suite enables banks to gain a clear view of their cost of cash, meeting not only regulatory requirements but also profit, growth and ROE objectives.
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Through funds transfer pricing and liquidity risk management techniques – including the accurate calculation of a liquidity buffer and liquidity stress testing – a bank can optimize both its liquidity coverage ratio and its use of liquidity.
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At the same time, improved treasury management and cash and liquidity management will provide an enterprise-wide view of the bank’s liquidity and risk, enabling confident decision making for better returns.
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With the iterative improvement of cash and nostro reconciliation processes, the bank can optimize operational control – ensuring the timely delivery of accurate information on cash flows and liquidity positions.
The Ambit Liquidity Optimization solution components consist of:
View our other Liquidity Optimization Resources: