Solutions

Our consulting and services teams are experts in financial data, with practical experience in over 65 banking and buy-side implementations around the world.

From post-trade processing to independent price verification and stress testing

One integrated platform for end-to-end control of financial data for investment banks, asset managers and more

For dealing with market data and risk factor classification and modellability requirements

Products

Our range of products help financial organisations deliver high-quality reference, market and risk data to the people and applications that need it – on time, all the time

Meet the specific data requirements of risk management and new regulation

Providing award-winning data mastering engine with AC Plus

A comprehensive file management and scheduling system through AC Connect

The industries largest managed data lakes for seamless data acquisitions

Continually innovating to stay on top of new customer requirements and technologies in data storage and processing

A comprehensive library of APIs and direct feeds to downstream systems

Services

Asset Control helps financial organisations deliver high-quality reference, market and risk data to the people and applications that need it – on time, all the time

Helping our customers succeed through client engagements while building personal connections

Optimize your systems and workforce with training from Asset Control

Optimize operational costs by utilizing both our expertise and that of our partners for business processing right through to technology operations

Insights

The latest data management research and commentary from Asset Control

Industry comment and analysis from the Asset Control team

Data management applications and best practice videos

Insight on industry trends, regulatory challenges and solutions

About Us

Delivering high-quality reference, market and risk data to the people and applications that need it – on time, all the time

Proven for unrivaled adaptability, reliability and efficiency

Stay up to date with all our latest news and company announcements

All the latest events we are hosting, sponsoring or and attending

Meet our management team

Asset Control partners with data, implementation and managed service firm to enhance clients’ experience of our data management solutions

All the latest vacancies at Asset Control

Contact Us

Get in touch with the Asset Control team - wherever you are in the world

A comprehensive, responsive programme for day-to-day support

We are a truly global company with offices around the world

Fill out our contact form and we'll get in touch as soon as possible

White papers

Gain insight on industry trends, including regulatory challenges and solutions

Martijn Groot analyses the impact of the Fundamental Review of the Trading Book on market risk and banks’ data management practices

A special report in conjunction with Risk.net

This paper explores the management of data in banking, with a focus on data management for risk management purposes and emphasis on banks’ financial markets activities

Based on our webinar in conjunction with Risk.net, this paper examines how much work the financial services industry has to do in the coming months, with advice on collating, proofing and securing the integrity of risk factor data sets for FRTB

In this white paper Martijn Groot looks into recent developments in stress testing and the challenges they pose to banks. In particular, addressing market data management issues in stress testing and how a wide range of data ingredients are required

Over the past four years, stress testing has been coming of age, transforming into a distinct discipline under the umbrella of risk management. Asset Control, in collaboration with WBR assembled a panel of data experts to identify major challenges, share best practices, and troubleshoot the compliance issues of the next few years.

In this age of ‘regulation, regulation, regulation’, management of financial data is increasingly under the microscope of management attention

What is risk data aggregation, why does it matter, and how can organisations make it work to their advantage?

Representing a sea-change for the financial sector, The Basel Committee on Banking Supervision (BCBS) has focused on strengthening risk data aggregation and reporting capabilities at key financial institutions.

Case studies

Learn how leading global financial services institutions have solved complex data management challenges with Asset Control

Major international bank in Canada establishes an internal data management function with Asset Control to support the effective use of master data covering capital markets and wealth management

ING's system serves 6 data applications and approximately 2,000 business users in their core market risk management, credit risk management and product control operations

Asset Control helped Aegon create a new market data infrastructure to increase efficiency and reduce risk in the pricing and valuation process for insurance assets and liabilities

Standard Chartered Bank chose AC Plus to replace a collection of data management systems and bring consistency and efficiency to market data management and risk management across their operations in 47 countries