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Two Major Banking Firms Select Lombard Risk

30 Jun 2016 07:00

RNS Number : 6385C
Lombard Risk Management PLC
30 June 2016
 

30 June 2016

Lombard Risk Management plc

("Lombard Risk" or the "Company")

 

Two Major Banking Firms in North America Select Lombard Risk's Collateral Management Solution, COLLINE®

 

Lombard Risk Management plc (LSE: LRM), a leading provider of integrated collateral management, regulatory compliance and reporting solutions for the financial services industry, is pleased to announce that it has been appointed by two major banking firms in North America to supply its award-winning collateral management, clearing, inventory management and optimisation solution, COLLINE®.

 

COLLINE® enables firms to move away from managing collateral in business line silos by supporting multiple asset types on a single, web-based platform. A single platform results in more efficient collateral management, enables collateral optimization, and provides users with the capability to manage liquidity and trading book capital.

 

Lombard Risk's COLLINE was chosen for its ability to quickly deliver agile and adaptable solutions for these highly complex organisations. As is the case across the world's largest banks, these new clients' decisions to move away from costly legacy applications in order to consolidate their systems and margining processes was a major driver in selecting Lombard Risk.

 

By leveraging COLLINE®'s straight-through-processing (STP) and exception-based processing they can also reduce operational risk. The COLLINE® cloud computing service also enables faster deployment and a substantially lower cost of setup and ongoing maintenance, affording clients the ability to realise business benefits sooner.

 

Alastair Brown, Lombard Risk's Chief Executive Officer commented: "Our ability to deliver agile solutions to banks with complex requirements has enabled us to secure the business of another two prestigious financial institutions in North America. These wins further cement Lombard Risk's position as a leading provider of collateral management solutions to the North American financial services market."

 

John Groetch, Managing Director, Americas, Lombard Risk added: "We're delighted to be working with these firms on delivering a collateral management solution that reduces costs and improves operational efficiency. By working closely with our clients we develop a deep understanding of their specific needs so we can deliver competitive advantage through bespoke and agile solutions." 

 

For further information please contact:

Lombard Risk Management plc

Alastair Brown, CEO

Nigel Gurney, CFO

 

Tel: 020 7593 6700

finnCap

Stuart Andrews

Carl Holmes

Scott Mathieson

 

Tel: 020 7220 0500

Newgate Communications

Bob Huxford

Robyn McConnachie

Adam Lloyd

 

Tel: 020 7653 9850

Email: lombard@newgatecomms.com

 

About Lombard Risk

Lombard Risk is a leading provider of regulatory reporting and collateral management solutions to the financial services industry. Through intelligent automation and optimisation, Lombard Risk's clients are able to improve their approach to risk management, gaining the agility they need to have a competitive advantage. As well as bringing immediate and urgent solutions to clients' needs, Lombard Risk's global team of experts look beyond today's reporting and collateral management to develop technology solutions that help them adapt as industry challenges evolve.

 

Counting over 30 of the world's 'Top 50' financial institutions among its clients, Lombard Risk has been a trusted partner for 27 years. Founded in 1989 and headquartered in London, it has offices in New York and Asia Pacific (Hong Kong, Shanghai, Singapore and Tokyo), and service centres in Germany, Atlanta, Cape Town and Miami. Find out more at lombardrisk.com 

 

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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