Mission Control consolidates the inputs decision-makers need:
Mission Control sits at the intersection of market signals, intelligence, trading exposure, risk management and decision control — bringing them into one environment rather than scattering them across dashboards.
Signals & Intelligence
- Market signals
- Financial signals
- Trading intelligence
- AI-supported analysis to surface what has changed and why
Exposure & Risk Monitoring
Exposure is monitored continuously across the positions and counterparties that matter:
- Treasury exposure
- Trading exposure
- Counterparty risk
- Liquidity
- Leverage
- Collateral and loan-to-value monitoring
- FX exposure
- Concentration risk
- Portfolio exposure
- Settlement risk
Scenario Analysis & Stress Testing
Mission Control supports scenario analysis and stress testing so that changes in market or counterparty conditions can be explored before they become problems. Configurable risk limits let teams define the boundaries that matter to them.
Decision Control
Alerts, escalation and approval controls turn monitoring into governed action. Management reporting and audit trails keep decisions visible and accountable.
A Risk-Management Layer, Not Just Dashboards
The longer-term objective is not simply to present dashboards. Mission Control is intended to become a risk-management and decision-control layer capable of identifying changes in risk and applying governance rules around trading and financial activity.

