
Offering Cloud Base Compliance Clearing as a Services for Electronic Receivables & Payables.

It is an organization that manages the settlement, confirmation, and delivery of transactions between seller and buyers of securities as a corporate trustee agent.
- It guarantee that all losses are collected and gains are credited at the end of the day
- It ensure that trades are processed efficiently and promptly
- It act as a middleman to facilitate the transfer of funds
It ensure that buyers have the funds to purchase securities and that issuer receive payment for their securities
Being the buyer to every seller and the seller to every buyer…
Such transactions encompass stock margin and bond trades. In addition, compliance clearing with a range of regulatory tasks including regulating the delivery of securities and reporting trading data.