Solutions we provide
SBI-SG custody services include end to end support on clearing & settlements, cash & forex solutions, asset servicing, derivatives clearing, gold custody for gold ETFs, reporting (regulatory & client) with dedicated client services team and relationship managers to take care of client’s post trade execution & any other capital market related needs.
We combine the banking and foreign exchange expertise of SBI with the operational and risk management proficiency of SGSS to offer high quality Custody and Fund Accounting Services.
We are the only local – global entity in the custody/securities services space in India, benefiting from Domestic & International experience
Technology focussed with SWIFT/STP compatible systems, electronic inter-linkages with stock exchanges, clearing corporations, depositories, and banking system. Flexible reporting that will suit your needs for an end-to-end automation solution.
We at SBI-SG, customize our service offering to meet your requirements and needs which will assist in enhanced efficiency in managing your investments and operations.
We bring in rich expertise and service excellence through strong management team with relevant domain expertise, follow risk-oriented approach with robust quality control measures and strong audit framework.
Fund Structures
- Multi-plan/option
- Multi-manager
- Multi-currency
- Fund of funds
Asset Class Coverage
- Shares, rights and warrants
- Coupon bonds
- Discounted securities
- Inflation protection bonds
- Variable rate securities
- Securities with cap / floor
- Structured securities
- Floating rate securities
- Repo/ Treps
- Options & futures
- IRS/ ICS
- Forward FX/ Swap contracts
- Offshore securities
- Commodities
- Mutual fund units
Expense Accounting
- Fixed expense accruals
- Tiered expense accruals
- Expense based on one account or groups of accounts
- Deferred expense accruals
- Exclusion of security types from expenses
- Exclusion of GLs from expenses
- Expense ceilings and floors
Reports & Analytics
- Regulatory reports
- Customised client specific reports
- Performance measurement
- Performance attribution
- Risk measurement
- Investment limit monitoring (ex post)
Reconciliations
- Portfolio
- Bank
- Unit transaction
- Derivatives margin
Ancillary
- Multiple cash flow statements
- Expense administration
- Statutory liability payments
- Equity trade matching with BCN
Audit Support
- Preparation of annual accounts incl. schedules and notes to accounts
- Abridged financial
- Independent audit coordination
Post Execution Trade Settlement flow Management
- Pre-Matching
- Repair Management & Cancellations
- Exchange Confirmations
- FX & Cash Management
- Cash & Securities Pay-In & Pay-out Settlement
- Shortage, Buy-in & Closeout Processing
- Reconciliations – Securities, Cash
- Exchange, Regulatory & Client Reporting
-
Assets Safekeeping (including physical securities)
Flexible SBI-SG books and CSD level securities account management / asset segregation
Derivatives Clearing Service
- Exchange Traded Derivatives (Stock, Index Futures & Options, Currency & Interest Rate Futures) Clearing Services & Cash Custodian
- Collateral & Margin Management
- Position Monitoring
- Margin and Mark to Market Settlement
- Exchange, Regulatory & Client Reporting
Corporate Actions & Income Processing
Income and Corporate Action Events
- Announcements Pre-Notification and Notification
- Entitlements Management
- Receivables & Receipts Management, Reconciliation & Processing
- Corporate Actions Instructions Processing
- Corporate Actions Instructions Status Reporting
- Exchange, Regulatory & Client Reporting
Company Meetings – Proxy & E-Voting Services
- Notifications
- Instruction Processing
- Meeting Reporting – Proxy Participation
- Instructions Status Confirmation – E-Voting