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P RESENTS

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P RESENTS. D EVELOPMENT P LATFORM. FRONT END : ASP.NET BACK END : SQL SERVER. A DDRESS. M umbai Office 2, Casablanca Trade Place (P) Ltd., Office No. 2, Lentin Chambers, GF, Dalal Street, Fort Mumbai - 400 023. R eg. Office 4, Shalin Complex, Opp - PowerPoint PPT Presentation
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PRESENTS FRONT END : ASP.NET BACK END : SQL SERVER D EVELOPMENT P LATFORM A DDRESS R eg. Office 4, Shalin Complex, Opp Ramesh Patel Party Plot, Manjalpur, Vadodara – 300 -011 O UR C ORE C OMPETENCIES USER-FRIENDLY AND EASY-TO-LEARN SOFTWARE DECENT REPORTS WITH ZOOM FACILITY STRONG ONLINE SUPPORT M umbai Office 2, Casablanca Trade Place (P) Ltd., Office No. 2, Lentin Chambers, GF, Dalal Street, Fort Mumbai - 400 023.
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Page 1: P RESENTS

PRESENTS

FRONT END : ASP.NETBACK END : SQL SERVER

DEVELOPMENT PLATFORM

ADDRESS

Reg. Office4, Shalin Complex, Opp Ramesh Patel Party Plot,Manjalpur, Vadodara – 300 -011

OUR CORE COMPETENCIES

USER-FRIENDLY AND EASY-TO-LEARN SOFTWARE

DECENT REPORTS WITH ZOOM FACILITY

STRONG ONLINE SUPPORT

Mumbai Office2, Casablanca Trade Place (P) Ltd.,Office No. 2, Lentin Chambers, GF,

Dalal Street, Fort Mumbai - 400 023.

Page 2: P RESENTS

INDEX

• BILLING

• DEMAT

• COMPLIANCE

• RISK MANAGEMENT

• PORTFOLIO MANAGEMENT

• CLIENT, BRANCH AND REMISER LOGIN

• ARBITRAGE AND JOBBING

Page 3: P RESENTS

BILLING

• CLIENT MASTER

• BROKERAGE SLAB MASTER

• BILL PROCESS

• SETTLEMENT WISE BILL SUMMARY

• BRANCH AND REMISIER MASTER

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BILLINGCLIENT MASTER

Contains all details of a client. Clients can be uploaded to UCI.

Page 5: P RESENTS

BROKERAGE SLAB MASTER

Different types of brokerages can be defined date wise, rate wise and scrip wise.

BILLING

Page 6: P RESENTS

BROKERAGE SLAB MASTER

Different types of brokerages can be defined date wise, rate wise and scrip wise.

BILLING

Page 7: P RESENTS

Bill Process

Bills are processed by clicking just single "Process" button which performs Square-Up & Del. Process, Brok.Process, Charge Process, Account Posting and Demat Posting

BILLING

Page 8: P RESENTS

BILLINGSETTLEMENT WISE BILL SUMMARY

Contains client wise Bill amount as well as ledger balance. Bills can be opened by clicking hyperlink.

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BILLINGBRANCH AND REMISIER MASTER

Brokerage can be shared upto 4 levels. Fixed Brok. slab and % sharing - both can be defined.

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BILLINGBRANCH AND REMISIER MASTER

Brokerage can be shared upto 4 levels. Fixed Brok. slab and % sharing - both can be defined.

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DEMAT

• PAY-IN INSTRUCTION GENERATION

• PAY-OUT INSTRUCTION GENERATION

• INTER-SETTLEMENT PROCESS

• IMPORTING TRANSACTION FILES

• DEMAT TRANSACTION REPORT

• HOLDING REPORTS

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DEMATPAY-IN INSTRUCTION GENERATION

Normal, Early and Direct Pay-In Instruction files are generated for Speed-E and Easiest. Pay-In Slips can also be printed.

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DEMATPAY-OUT INSTRUCTION GENERATION

Market and Off-Market, Normal and Interdepository Pay-Out Instruction files are generated for Speed-E and Easiest. Direct Pay-out files are also generated.

Page 14: P RESENTS

DEMATINTER-SETTLEMENT PROCESS

Inter-settlement Process can be performed automatically.

Page 15: P RESENTS

DEMATIMPORTING TRANSACTION FILES

RCBDL, Speed-E, DPC9 and DP transaction files can be imported and posted to Demat Ledger.

Page 16: P RESENTS

DEMATDEMAT TRANSACTION REPORT

Transaction Reports are available for Clients, Exchange and Broker's Pool aND Ben. A/cs.

Page 17: P RESENTS

DEMATHOLDING REPORTS

Client wise, DP wise, Exchange wise and Scrip wise Holding Reports with Valuation

Page 18: P RESENTS

COMPLIANCE

• ELECTRONIC DOCUMENTS STORAGE

• AML

• BANNED PAN ENTITIES

• ACTIVE/INACTIVE CLIENTS

• TRADE REGISTERS

• TURNOVER REPORTS

• DIGITALLY SIGNED CONTRACT NOTES

• MARGIN STATEMENTS

• ACCOUNT & SECURITY LEDGER CONFIRMATION

Page 19: P RESENTS

CLIENT'S DOCMENTS CAN BE STORED and Accessed in Electronic form.

COMPLIANCEELECTRONIC DOCUMENTS STORAGE

Page 20: P RESENTS

client's net-worth and income data can be entered, which is linked with aml report which gives suspicious trading of a client.

COMPLIANCEAML

Page 21: P RESENTS

BANNED PAN ENTITIES can be Imported from SEBI file.

COMPLIANCEBANNED PAN ENTITIES

Page 22: P RESENTS

Active and Inactive Clients can be sorted automatically.

COMPLIANCEACTIVE / INACTIVE CLIENTS

Page 23: P RESENTS

Trade Registers are generated in HTML and Excel format.

COMPLIANCETRADE REGISTERS

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Client wise and terminal wise Turnover Reports are generated for particular period.

COMPLIANCETURNOVER REPORTS

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Client wise and terminal wise Turnover Reports are generated for particular period.

COMPLIANCETURNOVER REPORTS

Page 26: P RESENTS

Digitally signed Contracts can be emailed through Web-EX as well as from our Special Product (STOCK-EX-NET : DIGI-SIGN).

COMPLIANCEDIGITALLY SIGNED CONTRACT NOTES

Page 27: P RESENTS

Digitally signed Contracts can be emailed through Web-EX as well as from our Special Product (STOCK-EX-NET : DIGI-SIGN).

COMPLIANCEDIGITALLY SIGNED CONTRACT NOTES

Page 28: P RESENTS

VAR and F&O Margin Statements can be emailed.

COMPLIANCEMARGIN STATEMENTS

Page 29: P RESENTS

Account Ledger and Security Ledger confirmation can be emailed.

COMPLIANCEACCOUNT & SECURITY LEDGER CONFIRMATION

Page 30: P RESENTS

Account Ledger and Security Ledger confirmation can be emailed.

COMPLIANCEACCOUNT & SECURITY LEDGER CONFIRMATION

Page 31: P RESENTS

RISK MANAGEMENT

• RMS REPORT

• PAY-OUT OF FUNDS

• PAY-OUT OF SHARES

Page 32: P RESENTS

Consolidated RMS Report is generated covering all segments.

RISK MANAGEMENTRMS REPORT

Page 33: P RESENTS

Fund Pay-out entries are generated considering Credit balance, Debit Bills in further settlements, Demat Shortages and Margin Shortages.

RISK MANAGEMENTPAY-OUT OF FUNDS

Page 34: P RESENTS

Pay-out of shares are prevented automatically if client has not given payment.

RISK MANAGEMENTPAY-OUT OF SHARES

Page 35: P RESENTS

PORTFOLIO MANAGEMENT

• PMS REPORT

• SHORT-TERM/LONG TERM GAIN/LOSS REPORT

• CORPORATE ACTIONS

• TRADE REGISTER

• F&O PROFIT-LOSS

Page 36: P RESENTS

Consolidated PMS Report

PORTFOLIO MANAGEMENTPMS REPORT

Page 37: P RESENTS

Short-term and Long-term delivery P/L Report

PORTFOLIO MANAGEMENTSHORT-TERM / LONG-TERM GAIN/LOSS REPORT

Page 38: P RESENTS

Short-term and Long-term delivery P/L Report

PORTFOLIO MANAGEMENTSHORT-TERM / LONG-TERM GAIN/LOSS REPORT

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Importing Corporate Actions from BSE and NSE

PORTFOLIO MANAGEMENTCORPORATE ACTIONS

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Client wise and Scrip wise Trade Register for whole year

PORTFOLIO MANAGEMENTTRADE REGISTER

Page 41: P RESENTS

Future-Option P&L Report

PORTFOLIO MANAGEMENTF&O PROFIT-LOSS

Page 42: P RESENTS

CLIENT, BRANCH AND REMISIER

LOGIN

• CLIENT LOGIN

• BRANCH & REMISIER LOGIN

Page 43: P RESENTS

Client Login screen, where a client can view his Bills, Account ledgers, Demat Holding and Transactions, PMS Reports

CLIENT, BRANCH AND REMISIER LOGINCLIENT LOGIN

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Branch and Remisier Login screen, where Branch or Remisier can view all reports of his clients as well as Brokerage refund Reports

CLIENT, BRANCH AND REMISIER LOGINBRANCH & REMISIER LOGIN

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ARBITRAGE AND JOBBING

• ARBITRAGE PROFIT-LOSS

• SPAN MARGIN PROCESS

• INTEREST CALCULATION

Page 46: P RESENTS

Jobber-wise P&L Report

ARBITRAGE AND JOBBINGARBITRAGE PROFIT-LOSS

Page 47: P RESENTS

Jobber-wise and Scrip-wise SPAN and Exposure Margin Calculation

ARBITRAGE AND JOBBINGSPAN MARGIN PROCESS

Page 48: P RESENTS

Interest can be calculated on Bill and Margin A/c.

ARBITRAGE AND JOBBINGINTEREST CALCULATION

Page 49: P RESENTS

THANK YOU


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