Buy-Side Risk and Liquidity Analytics

Go from static to dynamic AI-assisted analytics in a few weeks

Opensee’s risk and liquidity analytics solution is redefining what's possible for hedge funds and asset managers, delivering real-time data management, risk analytics, and AI-driven decision-making—all in under two months.

Customer testimonials

Trusted by leading buy-side firms

Opensee is trusted by leading hedge funds and asset managers that demand excellence in risk management, capital optimization, and decision-making. By combining cutting-edge AI with an intuitive interface, we’re transforming how teams work—delivering actionable insights in real-time with a fraction of the cost and effort.

“The successful deployment of Opensee’s platform in just a few weeks marks a significant milestone for us as we continue to push the boundaries of what a talented hedge fund team can achieve.”

Hedge Fund over $5 billion AUM

"Opensee has been a game-changer for us. The solution is incredibly efficient, and moving to a database with less legacy and a more robust structure was key. The efficiency and reliability have exceeded our expectations."

Asset Manager over $600 billion AUM

Core use cases

Where we deliver value

Augment your Market Risk system

  • Real-time and intraday VaR calculations and analysis on full history

  • Compare and calculate using several risk libraries (internal or external)

  • Run what-if scenarios and see the impact on the fly

  • Fast deployment on lean architecture

market risk management dashboard
Screen Ui - Optimize Liquidity & Margin Management

Optimize Liquidity & Margin Management

  • Real-time cash position monitoring and forecasting, including Initial Margins and Variation Margins

  • Track and optimize collateral requirements while managing asset utilization effectively

  • Fast deployment on lean architecture

Easily extend the platform to more use cases

  • Trade Analytics

  • Market Data Management

  • EOD Store

  • ESG

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How we deliver value

Example feature set for Market Risk

5 to 8 weeks
to production
Flexibility, Security, Customization, Speed, and User Empowerment

Multiple VaR, ES, Max loss, calculations, & allocation methodologies

Enables users to leverage out-of-the-box calculations while enabling custom internal analytics .

Permissioning System

Robust controls for data (rows/columns) and functionality (APIs) access, and SSO

Data Quality

Automatic data quality checks and AI outlier detection

Data Ingestion

Data pipeline from various formats including CRIF files

Data Model for Market Risk & P&L

Pre-defined data model covering EOD and intraday/real time

5 to 8 weeks
to production
Flexibility, Security, Customization, Speed, and User Empowerment

Multiple Access

Supports Rest APIs, Python, XLS, and full experience on desktop, web, and mobile.

Customizable Web UI

Open-source framework (for our clients) for easy integration and customization

Broadening of the solution

Extension to other use cases like Margin management, Market Data store

Why Opensee?

Core benefits

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Rapid deployment

Achieve go-live in just a few weeks. Our streamlined deployment process ensures you experience the benefits of real-time analytics, risk management, and AI-powered insights without lengthy delays or complex integrations.

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Rich functionalities

From advanced risk analytics to customizable data visualizations, our platform empowers you with tools to perform real-time VaR and stress testing, anticipate and optimize capital usage and risk metrics, and much more.

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Cost-efficient innovation

Our solution is designed with lean, high-performing teams in mind. Avoid costly overhead and reliance on external providers while maintaining access to best-in-class functionalities.

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AI-powered accessibility

Leverage the power of AI to democratize insights. Our platform makes data accessible to every member of your team through plain-language queries.

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Intuitive UI, unmatched UX

A highly customizable user interface ensures your team can easily navigate between granular data and big-picture insights. With best-in-class UI/UX, you’ll unlock new efficiencies while operating at peak performance.

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Scalable for the future

Designed for continuous evolution, our solution adapts to your needs as they grow. Whether supporting treasury and margin management, market data storage, or custom analytics, our platform evolves alongside your business.

Ready to revolutionize your risk and treasury operations?

Discover how our Buy-side solution will revolutionize your approach to risk and liquidity while delivering superior results.