Within the first settlement cycle
Institutions currently settling on 16 exchanges, cleared at the Options Clearing Corporation
Atlantis automated capabilities enable
firms to calculate and settle brokerage
fees efficiently and accurately.
Our system provides timely, scheduled
payment with complete transparency,
several end-of-settlement-cycle reports
and an audit trail.
Updates and user actions are reflected
real-time in the system, without waiting
for batch processing.
All trades are automatically settled on a
monthly basis, with all fees invoiced and
paid. Final, accurate invoices ensures
client funds are properly managed
Institutions currently settling on 16 exchanges,
cleared at the Options Clearing Corporation
Users can access Atlantis capabilities in the
way that best meets their needs, either
through our web-based application or via
secure APIs that support messaging in and
out of the system.
Atlantis supports a broad range of
reporting formats including CSV
and modernized XML. Firms can
access their daily and
via API, SFTP or by downloading
them directly from the Atlantis website.
Ratecards are stored in Atlantis to
enable a seamless automatic fee
Atlantis connects seamlessly with eRecs and
other third party reconciliation platforms through
file and message based integrations.
There is no fee to onboard Atlantis.
See our pricing for more details.
Anywhere from a couple of weeks
to a couple of months.
Email General Client Support: firstname.lastname@example.org
Email Atlantis Support: email@example.com
Email Docs Support: firstname.lastname@example.org
Email OCR Support: email@example.com
Email eRecs Support: firstname.lastname@example.org
Email Databank Support: email@example.com