Star

System of Treasury and Analysis Reporting

STAR provides a friendly, easy-to-use web environment managing everything from capturing transactions, transaction evaluation to final settlement, adapting perfectly to your business requirements

It allows the elimination of illegible spreadsheets and an easy return to control over all financial instruments.
Star

STAR functions cover all aspects of Treasury Management

CAPTURE

Initial capture and confirmation

Audit and monitoring of deal modifications

Management of “early termination”

Trade document management

EVALUATION

Mark-to-market of financial instruments portfolio with best-of-breed evaluation methods

Credit Evaluation Adjustment calculations incorporating credit enhancement techniques

Sensitivity analysis

SETTLEMENT

Control and monitor settlement amounts

Confirm interest rates 

Calculate your payments

Create your documents

Issue payment instructions

ACCOUNTING

Perform multi-currency accounting for settlements

Unwind trades

Enter your P&L for all financial instruments

Bank accounts management
signatories, bank balance importation

Cash management forecasts, and reforecasts, multi-currency cash budget

Custom reports adapted to the business

Support for financial products management

STAR manages the following markets and financial products:

Total return SWAP

Commodities derivatives

SWAP & Future on gas, oil, aluminum, energy, etc.

Currencies transactions

Spot, Forward, FX Swap, Future, Options, Exotics

Interest rate derivatives

Interest Rates SWAP, cross-currency SWAP, CAP & FLOOR

Debt instrument

Bond, Floating-Rate Note (FRN)

Money market instrument

BAs, Interest-bearing notes, Discount notes, Credit Facility Management

Star

Hedge accounting module

Obtaining all the documentation required by the IFRS and US GAAP regulations for hedge accounting.

Effectiveness testing

  • Perform easily prospective and retrospective effectiveness tests
  • Based on robust techniques using historical data
  • View and extract statistical measures associated with effectiveness testing
  • Drill down-to-detail historical scenario results
  • Accommodates both Cash Flow and Fair Value hedging strategies

“Gain control of your hedging relationships. Easily capture and associate hedging derivatives and hedged items, which are defined and designed according to business requirements.”

Accounting

  • Calculate and account for Basis Adjustments, OCI and Ineffectiveness for each hedging relationship.
  • Manage OCI releases to income.
  • Manage Basis Adjustments and OCI amortization of income following early termination of hedging relationships.
  • Drill-down from account summaries into detailed results of a single hedging relationship.
  • From accounting entry creation to transfer to G / L according to ERP format specifications, get a robust auxiliary that fully supports and automates your hedge accounting activity.
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