
Paradice Investment Management
The Challenge
Paradice Investment Management, a leading Australian boutique Fund Manager, implemented a new trade reconciliation system and needed to import their trade and position information on a timely basis for reconciliation in an internal system.
The challenge was that no off-the-shelf interface was available to connect their IRESS trade management system with the new reconciliation platform, creating a critical gap in their operations workflow.
Our Solution
Working closely with IRESS and the vendor of the reconciliation system, The Bridge developed a bespoke interface solution tailored to Paradice's specific requirements.
IRESS Integration
Custom interface into IRESS that creates and places Excel files into a secure location on the Paradice network.
Multi-Location Support
Process runs daily across multiple office locations in Australia and overseas.
Automated Monitoring
Confirmation and error messages generated to ensure operations team is aware of process status.
Process Optimization
Updated operational processes for the Paradice operations team to maximize efficiency.
The Outcome
The interface process continues to run on a daily basis with minimal intervention needed from either Paradice operations or The Bridge, providing a stable, low-maintenance solution.
When IRESS data structure changes occur, such as with version upgrades, The Bridge provides ongoing support to update the interface code, ensuring continuous operation and reliability.
Project Overview
- Services ProvidedCustom Software Development, System Integration, Ongoing Support
- TechnologiesMicrosoft .NETSQLIRESS API
- IndustryFinancial Services / Investment Management
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