SERVICES

Post-Trade Facilitation

Facilitate secure, efficient multi-lateral settlement processes once trades are executed. BridgePort coordinates settlement between trading firms, exchanges, and custodians.

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LIVE DEMO

Step a settlement to done

One settlement, start to finish. Advance it a phase at a time and reset it whenever you want.

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How Post-Trade Facilitation Works

Once trades are executed, BridgePort takes over the settlement work. The platform aggregates trade data from multiple venues, reconciles positions, and coordinates settlement through the custodian network.

Multi-lateral netting reduces the number of actual asset movements required, lowering costs and operational complexity. Real-time reconciliation means every party agrees on trade details before settlement starts.

  • Multi-Lateral Netting

    Aggregate and net positions across multiple venues, reducing the number of settlement transactions and associated costs.

  • Real-Time Reconciliation

    Automatically reconcile trades between exchanges and trading firms so details match before settlement.

  • Automated Settlement

    Once trades are confirmed, settlement instructions are automatically generated and executed through custodians.

  • Audit Trail

    Complete audit trail of all settlement activities for compliance and reporting requirements.

Off-exchange settlement with security and efficiency

Security uncompromised

BridgePort never has access to customer private keys. Customer funds are held safely at their custodian until settlement.

Full control

Assign user permissions at trading firms and enable access to exchange and OTC venues from the intuitive UI.

High touch

Experience BridgePort's expert support from onboarding all the way through to 24/7 technical and operational response.

SOC 2 Type 1 and Type 2 compliance seal

Independently audited

SOC 2 Type 1 & Type 2 compliant

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Cut the cost of settlement

Learn how post-trade facilitation reduces transfers, cost, and operational complexity.

Contact Us

Talk to our team