Sell-Side TMS logo

Sell-Side TMS

by InfoReach · Since 1995
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ActiveAvailable globallyCloud
Quick facts
VendorInfoReach
Year launched1995
StatusActive
Location20 South Clark Street, Suite 2150, Chicago, Illinois 60603, US
Countries servedGlobal
Languages6
Integrations
Free tier
Free trial
Contact salesYES

About Sell-Side TMS

Sell-Side TMS is a trading management system from InfoReach that provides tools for managing trade execution and compliance. It includes order management, real-time analytics, and integration with multiple trading venues so firms can better manage their trading activities. The software is designed to support various asset classes, ensuring that users can efficiently handle different types of trades. It also offers customizable reporting features to meet specific regulatory requirements. Key capabilities: order management real-time analytics integration with trading venues customizable reporting compliance tracking Best for: trading firms and financial institutions that need to manage trade execution efficiently.

Sell‑Side TMS from InfoReach TMS is a broker‑neutral, multi‑asset trade management system built for sell‑side firms, broker‑dealers, hedge funds and trading desks that need high‑throughput, flexible order execution and management. It wraps the full trade lifecycle — from order acceptance and pre‑trade analysis through execution, allocation and post‑trade processing — into one unified platform. The system supports equities, options, futures, FX and fixed income; it provides connectivity to a large global network of brokers, ECNs, exchanges, dark pools and other liquidity venues, allowing rapid and scalable access to global markets. The Sell‑Side TMS offers robust order‑ and basket‑management capabilities, built‑in and third‑party execution algorithms, real‑time position monitoring, pre‑/in‑/post‑trade analytics and compliance/risk‑checks against configurable rulesets. It is highly configurable so firms can tailor workspaces, reports, routing logic and trading workflows to their needs. For broker‑dealers handling high volumes, the system enables efficient basket executions and block trades, and supports automated charge/commission calculations and allocation strategies — features that help streamline operations and reduce manual overhead.

Pros & Cons

What users like
  • +Unified platform for front-to-back trade execution and management across multiple asset classes.
  • +Broker-neutral connectivity provides access to a wide range of liquidity providers.
  • +Built-in analytics and transaction cost analysis support informed trading decisions.
  • +Highly configurable to match firm-specific workflows and trading strategies.
  • +Supports high-volume institutional trading with robust infrastructure.
What users flag
  • Complexity may be excessive for smaller or simpler broker-dealers.
  • Implementation requires integration with multiple brokers, data feeds, and back-office systems.
  • Full use of analytics and fee-rule engines requires experienced staff.
  • Reliance on one system may limit use of specialized best-of-breed tools for niche tasks.

Features

Key features

Multi-asset, broker-neutral order execution; supports equities, futures, options, FX, fixed income, routing orders to brokers, ECNs, dark pools, exchanges, and trading venues.
Full order-management and execution system (OMS + EMS); covers pre-trade handling, basket and single-order routing, algorithmic execution, FIX connectivity, and post-trade workflows.
Pre-, in-, and post-trade analytics including transaction-cost analysis (TCA); provides real-time charts, position monitoring, analytics, and performance metrics.
Configuration flexibility & customization; allows tailoring of interface, workflows, algorithms, reports, alerts, and order/risk-control rules.
Post-trade allocation, settlement, and fee management; handles allocations, commission and fee calculations, settlement processing, and detailed cost reporting.

Additional features

Broker-neutral multi-venue connectivity; routes orders to a wide network of brokers, ECNs, MTFs, exchanges, and dark pools.
Order and basket management with algorithmic execution support; supports single orders, baskets, multi-leg orders, and integrates external algorithms.
Pre-, in-, and post-trade analytics and TCA tools; assists execution decision-making and performance evaluation.
Customizable UI and workflows; configurable toolbars, windows, filters, alerts, and reports.
Post-trade allocation, settlement, and reporting workflows; supports order allocations, confirmation matching, and integration with back-office operations.
Commissions, fees, and charge-rule engine; handles taxes, levies, stamp duties, settlement fees, and broker/dealer commissions.
Risk and compliance controls; enables rule-based checks, compliance enforcement, and pre-trade control mechanisms.

Pricing

Free trial
Free version
Request a quote
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Countries & Languages

Global
Countries served
6
Interface languages
13
Billing currencies

Interface languages

EnglishSpanishFrenchGermanItalianChinese

Billing currencies

🇺🇸USD🇪🇺EUR🇬🇧GBP🇦🇺AUD🇨🇦CAD🇯🇵JPY🇨🇳CNY🇨🇭CHF🇸🇬SGD🇭🇰HKD🇮🇳INR🇲🇾MYR🇳🇿NZD

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