CTS Own Portfolios management
This product enables the management of in-house (own) portfolios, including acquisition cost monitoring, quantification of realized and unrealized gains / losses (P / L) and bookkeeping for the bank's general ledger. Operations such as depreciation, indexation, maturity, etc. are supported.
We want our customers to be able to rely on us over the long-term. Therefore, we have to understand their business and ensure the sustainability and the quality of the systems and services we provide.
During my finance and accounting studies, I was already engaged in creating assignments to create a system to manage securities. This assignment had to be turned over to the developers so that it all worked as expected. My desire to understand how everything worked in the system opened me up to the world of programming, and especially how data is stored in a database and where the results of all system activities end. I enjoy connecting these worlds, from user needs to data storage in the system and back. Understanding users and developers simultaneously accelerates the achievement of the ultimate objective and designing an elegant solution is an activity that never gets old.
I’ve now been engaged with investment banking systems for more than 20 years, and at CTS TRADE IT I am involved in management and focused on delivery of the system and especially its analysis and design.