Categories:

#8

Reval is ranked #8 in the Financial Risk Management Software product directory based on the latest available data collected by SelectHub. Compare the leaders with our In-Depth Report.

Reval Benefits and Insights

Why use Reval?

Key differentiators & advantages of Reval

  • Adapt To Any Change: Configure the platform for new functionalities and capabilities based on requirements. Maximize scalability with automatic updates delivered via the cloud. 
  • Stay Up to Date: Access the latest market data from multiple providers directly delivered to the system. Automatically validate all data sources, including interest rates, commodity rates, option pricing and more for over 800 curves every day. 
  • 24/7 Connectivity To Bank Portals: Connect to the bank connectivity service at any given moment to access the Treasury and Risk Management (TRM) platform. 
  • Serve Clients Better: Attract clients with optimized liquidity, incentive campaigns and flexible products. Offers best-practice treasury management capabilities to further drive client retention. 
  • Centralized Source of Information: Receive financial data, bank statements, payments, interest rates, credit, derivatives and more in one place. 
  • Always Stay Within Regulations: Automatically keep track of local and state financial regulations, including ASC 815, ASC 820-10, IFRS 13, IAS 39, IFRS 9, IFRS 7, ASC 820 and more. 

Industry Expertise

Designed for legal practitioners in the banking and corporate sectors.

Key Features

  • Hedge Accounting and Compliance: Use the industry-specific accounting module to comply with federal and state regulations, including IFRS 9, IFRS 7, ASC 815, ASC 820, IAS 39 and more. 
  • TRM Assessment: Reconfigure risk and treasury management workflows to streamline business activities. 
  • Centralization: Centrally store all bank statements and transaction records to maintain visibility over financial data. 
  • Liquidity Management: Streamline liquidity management with integrated liquidity planning, cash management, cash pooling, investment management and in-house banking. 
    • Cash Pooling: Navigate global cash positions to liquidate assets productively. 
  • Multi-asset Risk Management: Manage derivatives, credits, commodities, interest rates and more for the organization’s assets. 
  • Analysis and Reporting: Leverage the customizable dashboard to run best practice reports on banks, currencies, locations and business units. 
  • Integrations: Seamlessly integrate third-party applications into workflows. Process money market funds, trade executions and confirmations from the same platform. 
  • Corporate Incentives: Conceive product designs and incentive plans for corporate partners. 

Suite Support

The vendor provides dedicated account managers, professional services and implementation support. Visit the community forum to access FAQs and guides. For technical support, submit a ticket via the client portal, or contact the vendor via phone or email.

mail_outlineEmail: Available; Email address not specified on vendor’s website.
phonePhone: +1 212-901-9799 or +1 866-738-2527 (toll free).
schoolTraining: In addition to the resources mentioned above, available on the community forum, access online and personalized product training provided by subject matter experts.
local_offerTickets: Log in to the client portal to submit a support request.