• Corporate Banking
Showing 1 - 20 of 69 APIs
  • Corporate Banking
  • Securities Services

Gain access to the assets and liabilities of the fund’s balance sheet to understand the fund’s NAV components

  • Corporate Banking
  • Securities Services

Extracts standing instructions setup details per fund or plan by unitholder (investor) level

  • Corporate Banking
  • Securities Services

Extracts FATCA and Common Reporting Standards (CRS) setup details by unitholder or Customer Information File (CIF) level

  • Corporate Banking
  • Securities Services

Extracts transfer agency entities including Legal Entity, Agent, Agency Branch, Account Officer, IFA, Broker and Related Party

  • Corporate Banking
  • Securities Services

Extracts corporate action details per fund include Liquidation, Merger, Split and more

  • Corporate Banking
  • Securities Services

Extracts fund price details

  • Corporate Banking
  • Global
  • Securities Services

Extracts trailer fee and commission data per entity level such as the agent

  • Corporate Banking
  • Brazil
  • Payments

Issue boletos online to manage your receivables

  • Corporate Banking
  • Global
  • Receivables

Global Receivables  - Virtual Account Management

Trade Finance - Document Managements
  • Corporate Banking
  • Global
  • Trade Finance

Manage documents associated with your customers application

  • Corporate Banking
  • Global
  • Merchant Services

Simulation API for Hong Kong FPS, Malaysia DuitNow, Singapore PayNow and Vietnam VietQR

  • Corporate Banking
  • Global
  • Securities Services

Extracts transactional payment and settlement details

  • Corporate Banking
  • Global
  • Securities Services

Gain access to the income earned between NAV points.

  • Corporate Banking
  • Securities Services

Contains information on holdings and position details

  • Corporate Banking
  • Securities Services

Contains cash analysis, trial balance information and fund level details

  • Corporate Banking
  • Securities Services

Contains NAV Price information (fund and share class level), and exchange rate details

  • Corporate Banking
  • Securities Services

Contains transaction details between NAV points

  • Corporate Banking
  • Securities Services

Extracts transactions details of multiple transaction types including Subscription, Redemption, Switch, Transfer, etc

  • Corporate Banking
  • Securities Services

Extract unitholder (investor) level holdings data

  • Corporate Banking
  • Securities Services

Extracts income distribution preferences setup details by unitholder (investor) level.