Gain the TWIN advantage

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Gain the TWIN advantage

cgi.com 1 MASTER YOUR GLOBAL TREASURY AND ASSET MANAGEMENT CHALLENGES Question: How do you focus on shareholder value while combining your financial competence in your treasury or asset management operations with a global corporate-wide perspective? The Treasurer gets: An integrated front office, middle office, back office and general ledger Flexible deal capture and administration Risk management in real-time Profit and loss reporting Position monitoring and control Powerful computing and analysis tools Sophisticated financial report writer/ereporting What-if simulations Liquidity and cash management Treasury performance analysis Multi-subsidiary support Compliance with regulatory frameworks, e.g. IFRS Hedge accounting Straight-through processing (STP) with internal and external counterparties Answer: Use a proven solution from a development partner who delivers results that help you cope with constant changes in information, banking and treasury and asset management environment. The Asset/Portfolio Manager gets: An integrated Front-to-Back office system Flexible order management Coverage of extensive range of instruments Portfolio compliance NAV reporting Sophisticated risk management including Value-at-risk Benchmarking Performance measurement supporting Sharpe s ratio, Jensen s Alpha, Tracking error and more Client reporting services Compliance with industry accounting standards KEY TWIN HIGHLIGHTS An innovative and proven treasury solution A strategic treasury and asset management solution Instant views of financial information flow and currency positions Quick, reliable analysis assured Support for all major instruments available in the financial market

cgi.com 2 CAPTURE THE DEAL WITH FRONT OFFICE Enjoy the logical, easy-to-handle user interface when you handle complex position-keeping and risk exposure. Dealing, messaging, reporting and interacting with subsidiaries, counterparties and other electronic marketplaces is as close by as the nearest web browser you can lay hands on. All money market deals, FX deals and equity deals are quickly and easily entered or captured electronically. Deal capture only involves data that is relevant and necessary for defining and processing each deal. Up-todate information on positions and risks is available to you and all other authorized persons immediately after a deal has been entered. Choose your instrument and your deal. TWIN supports all major instruments available in the financial market. Fixed income TWIN can handle loans, deposits, bonds, semi-annual bonds, ECP, FRN, MTN, repos, IRS, cross currency IRS, FRA, OTC futures, exchange traded futures, interest options, swaptions and more. Foreign Exchange TWIN helps perform necessary consolidations on any desired level and in any desired reference or consolidation currency. Deal examples: Spot, forward, swaps, currency options, touch-options, barrier level options. Equity You will be able to follow up on events and performance. Handle spot deals, futures, options, warrants, equity loans, right issues, convertible bonds, CFD, corporate actions etc and more. In addition to the system being able to handle all outstanding deals, you can also take advantage of a comprehensive history of all events. This enables you to track all papers from buying through dividends, issues, and splits to selling. Events that involve a payment flow have an impact on TWIN s overall handling of cash flow and FX positions. Commodity Handle spot deals, forwards, futures and options in the commodity market. WHAT IS TWIN? A state-of-the-art solution designed for active treasury and asset management in a global multi-site, multi-currency, multi-user and multiinstrument environment. A web-centric, online system, supporting straight-through processing (STP) to and from internal and external counterparties, other financial systems and e-marketplaces. A scalable solution that accurately analyses the risk exposure and performance of a trading room, treasury function or investment firm, for any portfolio, any security and all traded currencies. An operational tool to increase the efficiency of treasury and asset management processes. Visualize and take control of your processes with TWIN Map TWIN Map visualizes and streamlines your daily processes applied across the whole system from trade input in front-office all the way to accounting in general ledger. It has a modern.net architecture combined with Windows Presentation Foundation design applied across the TWIN process map that brings clarity and transparency in all events. The built-in alarm and notifications will display task to be done according approved processes. TWIN Maps visualized and helps the build-up of a transparent segregation of duties and access in accordance with policy and audit trial.

cgi.com 3 TAKE CONTROL WITH MIDDLE OFFICE TWIN s Middle Office provides you a solid basis for making the right decision, at the right time. You create and maintain an appropriate finance policy, set and distribute levels of user rights to subsidiaries, and use the powerful and flexible functions for risk analysis and presentation of information. The criteria of reports contents and reports ordering are user definable, making it easy to create customized decision support smoothly and efficiently. Real-time market information on conditions, prices, rates and so on for mark-to-market valuation, positions and risk analysis can be linked automatically to the system for example, Reuters, Bloomberg, SIX or other feeds. With TWIN s Middle Office, you can take advantage of: Straight-through processing and full connectivity with market places and counterparties Measuring real and forecasted performance Result monitoring on a daily, weekly or monthly basis Limit management Audit trail Calculating profit and loss ANALYZE RISK IN REAL-TIME With an instant link to your market information supplier you can analyze deals in real-time. Thus all your positions and transactions will be updated immediately. TWIN enables you to simulate different alternative scenarios prior to important decisions, and follow up versatile key parameters and risk measures. Reporting features in TWIN give you a level of control, which is hard to match using other methods. The basis of all reports/ analysis/ simulations is a unique financial report-writer, specially developed for TWIN. Many standard reports are available but you can easily tailor your own reports and analysis. And it doesn t take an IT expert to handle it. The what-if simulation capability allows you to simulate different market scenarios, such as nonparallel shifts in interest rates or expected fluctuations in currency rates, and to study their impact on your risks, exposure and results. EXAMPLES OF RISK ANALYSIS BY TWIN Maturity profiles Liquidity forecasts Duration analysis Portfolio analysis Gap analysis FX rates risk Interest risk Liquidity risk Yield analysis Cash flow analysis Different currency/interest rates development scenarios What-if analysis Performance analysis for money market, foreign exchange, equity trading and commodities

cgi.com 4 CONFIRM AND SETTLE WITH BACK OFFICE Highly integrated with all other TWIN modules, Back Office lets you handle confirmation, settlement, reconciliation and accounting. There are several ways to integrate payments and balances from bank accounts in TWIN. It is possible to import information on payments and balances directly from several banking systems, which is very useful for automatic entry of commercial transactions and payments. As the number of such payments each day can be very large, we add new bank connections depending on the user s requirements and needs. IMPOSE CONSISTENT ACCOUNTING RULES TWIN s high level of integration also allows you to impose consistent accounting rules on the data as it flows out of the system into the accounting link. Keep your business in order with numerous control and administrative functions such as: Workflow status control Confirmation matching Confirmation letters by automatic e-mail Advanced functionality for adjustment and closing of derivatives Automated account coding Journal entries Posting of unrealized and realized transactions Automated accounting interfaces Electronic payment files to banks Automated bank account reconciliation Bank account management and control Audit trail WHAT TWIN CAN DO FOR YOU? Provides you with instant overview of the company s present financial information flow and currency positions, in whole or in specific parts. Consolidates heterogeneous, portfolios that are performing well. Streamlines fixed income, foreign exchange, equity and commodity deals as well as deals in all traded currencies, the majority of all financial instruments and their derivatives. Gives you superior control and a better general outlook, healthier prognoses and more opportunities to exploit the fluctuations of the financial market to your advantage. Performs risk analysis in real-time, and makes the financial risks of your operations clearly visible.

cgi.com 5 STREAMLINE YOUR FINANCIAL SYSTEMS WITH INTERACTIVE AND INTEGRATED SOLUTIONS Connect, distribute and gain - with Web Office In today s financial systems, the working processes of your treasury or asset management have become more and more transparent and automated. The interacting network of financial systems is a giant leap forward for the financial community in general. TWIN is a part of this progress, as a front-edge solution. By introducing web connectivity with TWIN you can leverage the internet/intranet as a powerful service delivery platform where internal counter-parties to the central treasury, such as subsidiaries or other operational entities, can access relevant information stored in TWIN s databases. For those who are authorized, this service is available from anywhere in the world, 365 days a year, 24 hours a day, without assistance from the central treasury personnel. Two significant benefits With Web Office, you benefit from: a web deployed user interface the extensive functionality and flexibility of web-centric client server architecture. By deploying TWIN s web connectivity you communicate seamlessly with subsidiaries, banks and other counterparties. TWIN automatically exchanges information with geographically widespread systems and networks such as trading portals, banks and so on, in an effective way by employing true straight-through processing. Also, it continuously keeps track of the status of all your activities and positions. Commitments to subsidiaries are easily fulfilled with highly secured and standardized web-based distribution of access rights and connected services. Reconcile your accounts with integrated general ledger By integrating the bookkeeping process within TWIN you reduce risk and increase efficiency in the bookkeeping process. TWIN has a built-in integrated general ledger, mainly for financial accounting of financial instruments. The ledger contains functionality for complete balance and P/L reports, chart of accounts and drill-down functionality on accounts. The ledger eliminates the reconciliation between TWIN and external ledgers, and the user receives early warnings of missing accounting rules directly when entering deals. TWIN INCLUDES SUPPORT FOR General Ledger Commodity Handling Hedge Accounting Internal Bank Cash Flow Forecasting Risk Management

cgi.com 6 GAIN ACCESS TO REAL-TIME VISIBILITY OF YOUR CASH MANAGEMENT PROCESSES Improve your forecasting with TWIN Cash Flow Forecasting Business-to-Treasury processes cover the essential flows of information and communication between the business units and the treasury. With the availability of best practices and efficient tools for B2T interaction, the corporate treasury has continuous access to critical business data and can offer excellent online service to the business units. Take your internal processes to the next level and forget about spreadsheets! Improve your payment processes with TWIN Netting Netting your payments is one of the easiest and most cost-effective ways to improve your corporation s cash management. You can save significantly - by netting all payments between several parties using a netting center and by agreeing on a value date with your bank.

cgi.com 7 SOLUTIONS BEYOND FUNCTIONALITY Selecting a new treasury and asset management solution is a process that requires many skills and involves several decisions. It is not all about functionality and technology. Your software vendor s dedication, commitment, resources and financial stability are critical to your success. CGI s business approach is to develop, market, implement and maintain solutions and tools for the area of treasury, risk & asset management. Using our combined resources, we are committed to deliver product that places you on the front line and gets the job done better, faster and more comprehensively. Our software combines treasury, banking and asset management industry knowhow with IT expertise to give you the kind of competitive edge and results you are looking for. Contemporary generation of software CGI has been active in the area of developing software for treasury, banking and asset management as well as cash management since 1982. Our flagship software product TWIN represents several generations of treasury and asset management software developed by the company. With in-depth and continuous market analysis and IT technology analysis, we ensure that TWIN is at the cutting edge of the ever changing market for treasury and asset management services. We are investing significant amounts in system development to meet fast changing financial market requirements. We will not simply settle for existing functionality but look for new features that will give our clients competitive edge. Tracking and exploiting trends A significant part of our mission is to understand important trends in the global financial market and ensure TWIN delivers the benefits of these trends. And,, we aim to eliminate or minimize the disruption that change can bring. A very active TWIN User Association, where every company and organization using TWIN is represented, is participating in planning, reviewing and development of the product. To maximize the business benefit from your investment in TWIN, we are spending a great part of our revenue on product development activities. We re highly proficient at quickly taking advantage of new opportunities and delivering financial solutions that support your business goals. Our solutions naturally embrace software and implementation employing best practice, but also hardware, computers, data links and telecommunications as important components of the finished product. But only people can apply knowledge, provide service and take responsibility. Only people can create the final result.

cgi.com 8 TWIN YOUR TREASURY AND ASSET MANAGEMENT ADVANTAGE A leading Treasury and Asset Management system with near 160 clients in corporates, banks and financial institutions in 10 countries. Treasury and Asset Management TWIN supports: Straight-through-processing Trade capture Trade confirmation and settlement Risk management General ledger Hedge accounting Cash flow forecasting

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FOR MORE INFORMATION Jörgen Tisell Sales & Marketing Manager globalproducts@cgi.com cgi.com With 68,000 professionals operating in 400 offices in 40 countries, CGI fosters local accountability for client success while bringing global delivery capabilities to clients front doors. Founded in 1976, CGI applies a disciplined delivery approach that has achieved an industry-leading track record of on-time, on-budget projects. Our high-quality business consulting, systems integration and outsourcing services help clients leverage current investments while adopting new technology and business strategies that achieve top and bottom line results. As a demonstration of our commitment, our average client satisfaction score for the past 10 years has measured consistently higher than 9 out of 10. 2014 CGI GROUP INC. All rights reserved. This document is protected by international copyright law and may not be reprinted, reproduced, copied or utilised in whole or in part by any means including electronic, mec hanical, or other means without the prior written consent of CGI. Whilst reasonable care has been taken by CGI to ensure the information contained herein is reasonably accurate, CGI shall not, under any circumstances be liable for any loss or damage (direct or consequential) suffered by any party as a result of the contents of this publication or the reliance of any party thereon or any inaccuracy or omission therein. The information in this document is therefore provided on an as is basis without warranty and is subject to change without further notice and cannot be construed as a commitment by CGI.