CLASS™ - Back Office Powerhouse

This Back Office Solution handles transactions seamlessly, ensuring a smooth journey for brokers of all sizes. Choose CLASS™ for excellence.

Exceptional features of CLASS™

Evolve with CLASS™

Adaptable to multiple trading segments, exchanges, and users, CLASS™ ensures continual enrichment, keeping you at the forefront of evolving market dynamics.

Flexible Browser

A browser-based solution, ensures your back office is accessible anywhere. Delivering optimum value, it excels in performance, scalability, and reliability for broker offices and clients.

Intuitive Navigation

It offers an intuitive interface for easy navigation and maximum user comfort. Optimizing core back office functions, it ensures a streamlined workflow, making back office processing a seamless experience

Future-Ready

It stands out for its forward-thinking approach, anticipating and accommodating future developments. Prepared for continuous changes in procedures and rules, it seamlessly adapts to both existing and new financial instruments.

Streamline with Automated Back Office Management Engines

Trade Processing Module

Exchange Alignment: Keeps broker positions in sync.
Trade Import: Imports end-of-day trades.
Position Matching: Matches positions with exchange obligations.
Client Confirmations: Provides client confirmations.
Contract and Bill Processing: Manages contracts and bills.
Adjusted Brokerages: Handles trade transfers with changed brokerages.
Billing Details: Generates bills, calculates taxes.
Settlement Summary: Posts summaries into accounts.
Net Position Processing: Efficient processing for net positions.

Financial Accounting Module

Efficient Account Tracking: Seamlessly manages accounts.
Automated Cheque Handling: Auto-posts received/issued cheques.
Bank Pay-In Slip Automation: Generates slips automatically.
Easy Debit/Credit Entries: Simplifies voucher entry.
Auto Bank Reconciliation: Streamlines reconciliation.
Insightful Analysis: Provides aging and interest reports.
Date Management Function: Efficiently handles voucher and effective dates.
Smooth Financial Tracking: Ensures seamless financial management.

Securities Module

Effortless Import: Directly import DP statements for quick processing.
Flexible Share Transfers: Easily move shares between clients.
DP Instruction Statements: Generate required statements for seamless transactions.
Streamlined Transfers: Manual and auto inter-settlement support.
Comprehensive Reporting: Detailed client and scrip-wise delivery reports.
On-Demand Reports: Access client pay-in, payout, and Exchange shortage reports.
Holding Statements: Receive statements for Pool and Beneficiary DP accounts.

Report Module

Dynamic Reporting: Create on-the-fly reports.
Drill-Down Capability: Dive into trade details easily.
Trade Insights: Quick overview of trade activities.
Confirmation Printing: Efficiently confirm trades.
Contract cum Bill Printing: Combine contracts and bills.
Net Position Monitoring: Track client trade positions.
Bill Printing: Easily print bills for accounting.
Client Statements: Access settlement-wise statements.
Balance Sheets: Generate date-wise sheets for Valan.
Debtors/Creditors Analysis: View lists with aging analysis.
Securities Reports: Print DP instruction slips.
Exchange Reports: Generate UCC and other Exchange reports

Collateral Management Module

Adjustable Haircuts: Edit Security, Fixed Deposit, and Bank Guarantee haircuts.
Flexible Options: Set haircuts globally or for specific client types, groups, parties, scrips, or combinations.
Valuation and Release: Easily value and release different client collaterals.
Detailed Reports: Access reports on Available Collateral and Collateral Maturing State for efficient management.

Email Module

Selective Emailing: Send specific reports effortlessly.
Built-in Security: Maintain access control for secure email use.
Detailed Logs: Comprehensive user activity logs.
Efficient Collateral Management: Reports for Available Collateral and Collateral Maturing State.
Net Position Tracking: Monitor client trade positions.

Derivatives Module

Custom Brokerage Options: Choose your preferred method.
Distinct Rates for Futures and Options: Tailor brokerage for each.
Square-Up Transactions: Specific brokerage for square-up actions.
Exchange Margin Reporting: Efficiently report margins to the exchange.
Final Settlement Brokerage: Separate rates for Futures and Options during final settlement.
Flexible Premium Charges: Option to charge brokerage on Premium, Strike, or Strike + Premium.
Comprehensive Reports: Covering in/out of the money contracts, positions, margins, exercise/allocation, and net positions for client trades.
Exchange Margin File Reporting: Streamlined reporting for client-level collections.
RMS Report: Risk management system reports for enhanced control.

Risk Management Features
  • Individual Client Risk Summary
  • Risk Exposure Summary by Client Group
  • Settlement-wise Risk Overview
  • Detailed Reports on Client and Scrip-wise Summaries

Streamline with Automated Back Office Management Engines

Trade Processing Module

Exchange Alignment: Keeps broker positions in sync.
Trade Import: Imports end-of-day trades.
Position Matching: Matches positions with exchange obligations.
Client Confirmations: Provides client confirmations.
Contract and Bill Processing: Manages contracts and bills.
Adjusted Brokerages: Handles trade transfers with changed brokerages.
Billing Details: Generates bills, calculates taxes.
Settlement Summary: Posts summaries into accounts.
Net Position Processing: Efficient processing for net positions.

Financial Accounting Module

Efficient Account Tracking: Seamlessly manages accounts.
Automated Cheque Handling: Auto-posts received/issued cheques.
Bank Pay-In Slip Automation: Generates slips automatically.
Easy Debit/Credit Entries: Simplifies voucher entry.
Auto Bank Reconciliation: Streamlines reconciliation.
Insightful Analysis: Provides aging and interest reports.
Date Management Function: Efficiently handles voucher and effective dates.
Smooth Financial Tracking: Ensures seamless financial management.

Securities Module

Effortless Import: Directly import DP statements for quick processing.
Flexible Share Transfers: Easily move shares between clients.
DP Instruction Statements: Generate required statements for seamless transactions.
Streamlined Transfers: Manual and auto inter-settlement support.
Comprehensive Reporting: Detailed client and scrip-wise delivery reports.
On-Demand Reports: Access client pay-in, payout, and Exchange shortage reports.
Holding Statements: Receive statements for Pool and Beneficiary DP accounts.

Report Module

Dynamic Reporting: Create on-the-fly reports.
Drill-Down Capability: Dive into trade details easily.
Trade Insights: Quick overview of trade activities.
Confirmation Printing: Efficiently confirm trades.
Contract cum Bill Printing: Combine contracts and bills.
Net Position Monitoring: Track client trade positions.
Bill Printing: Easily print bills for accounting.
Client Statements: Access settlement-wise statements.
Balance Sheets: Generate date-wise sheets for Valan.
Debtors/Creditors Analysis: View lists with aging analysis.
Securities Reports: Print DP instruction slips.
Exchange Reports: Generate UCC and other Exchange reports

Collateral Management Module

Adjustable Haircuts: Edit Security, Fixed Deposit, and Bank Guarantee haircuts.
Flexible Options: Set haircuts globally or for specific client types, groups, parties, scrips, or combinations.
Valuation and Release: Easily value and release different client collaterals.
Detailed Reports: Access reports on Available Collateral and Collateral Maturing State for efficient management.

Email Module

Selective Emailing: Send specific reports effortlessly.
Built-in Security: Maintain access control for secure email use.
Detailed Logs: Comprehensive user activity logs.
Efficient Collateral Management: Reports for Available Collateral and Collateral Maturing State.
Net Position Tracking: Monitor client trade positions.

Derivatives Module

Custom Brokerage Options: Choose your preferred method.
Distinct Rates for Futures and Options: Tailor brokerage for each.
Square-Up Transactions: Specific brokerage for square-up actions.
Exchange Margin Reporting: Efficiently report margins to the exchange.
Final Settlement Brokerage: Separate rates for Futures and Options during final settlement.
Flexible Premium Charges: Option to charge brokerage on Premium, Strike, or Strike + Premium.
Comprehensive Reports: Covering in/out of the money contracts, positions, margins, exercise/allocation, and net positions for client trades.
Exchange Margin File Reporting: Streamlined reporting for client-level collections.
RMS Report: Risk management system reports for enhanced control.

Risk Management Features
  • Individual Client Risk Summary
  • Risk Exposure Summary by Client Group
  • Settlement-wise Risk Overview
  • Detailed Reports on Client and Scrip-wise Summaries

Our solution seamlessly supports key exchanges and segments in financial markets

  • Capital market
  • F&O Segment
  • Currency Derivative segment
  • Commodities
  • Debt Market
  • SLBS Market
  • Mutual Funds
  • Capital market
  • F&O Segment
  • Currency Derivative segment
  • Commodities
  • Debt Market
  • SLBS Market
  • Mutual Funds
  • Commodities Exchange
  • Currency Derivative Segment
  • NSE International Exchange IFSC Limited (NSE IX)
  • India Inx-India International Exchange IFSC Ltd ( India INX)
  • IIBX ( India International Bullion Exchange (IFSC) Limited)
  • DGCX Commodities Exchange
  • NMCE Commodity Exchange

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