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Baseware® Management of Security Bonds



Goals

To issue new investment securities, used to represent rights over diverse kinds of actives, and to indicate how each one of the rights are issued and placed in the market (physical or dematerialized securities).

Operative Benefits

It gives parameters about the necessary steps to conscientiously meet the process of bearing of assets and the processes of management of such bearings.

It controls the preliminary achievement of the required steps to issue new security bonds into the market, such as the management of the issuing prospect, the verification of the approval of securities expedition and other requirements, previous to the negotiation process itself.

It also allows creating, and managing the autonomous assets by the managing institution of the issue. Additionally, it shows the requirements of registration of the given assets as the base of the titularizacion and the creation of global control figures from the process itself.

It provides the possibility of defining so many tranches and placement agents as will be exposed in the issuing prospectus approved by the respective control entity.

Additionally, it allows the rigorous control over the issue of backing securities (Macrosecurities).

It is capable of making the definitive placement of rights (issue of security bond) in an electronic or physical form, detailing in it, the custody place of the securities, and the relation of the beneficiaries over the acquired rights, and provides a record of authorized personnel to make collections.

It makes an automatic and current report of the control figures of the issuing by tranches and by offices that issue securities.

It generates an automatic accounting of BASEWARE or it allows carrying out interphase with other accountable systems.

It can generate detailed reports of performance and graphic reports of the issuance performance.

It allows an historical registry of the issued securities, titleholders, beneficiaries, and control figures of the issue tranches.

Additionally, the system of money laundry can be obtained in order to have a more detailed control of the natural or juridical person that will establish vinculums through this financial service.