
Where innovation meets reliability. We are proud to present our cutting-edge multi-asset technology platform, a revolutionary solution providing comprehensive risk management and trade reconciliation services for spot, derivatives, and lending markets.
A trailblazer in the industry
Silverside is committed to delivering state-of-the-art solutions that redefine the landscape of financial services infrastructure.
A team of seasoned experts
We have successfully developed and deployed a robust platform that empowers businesses in the complex world of multi-asset and cross platform trading.
KEY FEATURES
Multi-Asset Integration
Seamlessly manage spot, derivatives, and lending assets in a single, unified platform. Experience unparalleled efficiency through streamlined processes and integrated workflows.
Cutting-Edge Technology
Leverage the power of the latest technologies to stay ahead of the curve. Our platform is designed with scalability and adaptability in mind, ensuring relevance in the ever-evolving financial landscape.
Risk Management Excellence
Mitigate risks intelligently with our advanced risk management tools. Real-time monitoring, analytics, and predictive modeling to empower informed decision-making.
Trade Reconciliation Solutions
Achieve unmatched accuracy in trade reconciliation across diverse asset classes. Reduce operational risks and enhance overall operational efficiency.
Platform Coverage
Asset Coverage
Equities, Futures (including Calendar Spreads), Currencies, Bonds, Crypto Currency (including Spot, Futures, Swaps, Options and Margin instruments)
Instrument Coverage
- Basic trading instruments covering a single asset on a single exchange
- Composite instruments aggregating multiple exchanges
- Derivative Instruments (priced based on other instruments)
- Synthetic Instruments (internally defined, such as a future front month)
Connectivity & Distribution
FIX API Native
Direct connectivity with REST API Adaptor Engine for crossover
50+ Data Feeds
Market data feeds with pluggable internal or shared application modes
Pre-Trade Risk
Configurable checks on order sizes, values, frequency and position limits
Price Distribution
Distribute unlimited electronic price feeds with custom tiers and dynamic parameters
25+ Gateways
Order entry gateways with automatic splitting and borrow checks
Fee Calculations
Full internal and configurable trading fee calculations available
Execution & Risk Management
Aggregation
- Multi-Venue price aggregation for best available executions
- 50+ venues across different asset classes
Trading Strategies
- Pre-written strategies for liquidity provision, taking, accumulation and auction
- Building blocks for custom alpha and execution models
- Full online control and monitoring
Risk Management
- Real-time monitoring via terminal applications
- Automatic strategy shutdown on conditions
- Email and Slack alerts on threshold crossings
Client Flow Trading
- Multi-venue liquidity aggregation into single feed
- Smart order routing
- Cash, Credit, Margin and Omnibus accounts
Middle & Back Office
Reporting
- Real-time and EOD batch PNL, position, and volume reports
- By account or portfolio with unlimited sub-levels
- On-demand dashboards with custom position marking
Reconciliation & APIs
- Position reconciliation against external counterparties
- REST API and Web portal for client information
- Matching engine for any supported asset
Configuration
- Hot swappable base currencies
- Add assets and instruments daily without external definitions
- Full persistence of positions, volumes, PNLs, orders and executions
Hosting
- Global datacenters: US, Canada, Singapore, Hong Kong
- Low latency architecture with embedded FIX engine
- Disaster recovery replication to remote sites






