Shadow’s production-proven product, ShadowSuite®, provides full post-trade multi-currency and multi-asset class securities processing, reconciliation, clearing, settlement, treasury and accounting functionality for firms that trade securities. Regardless of trading volume, ShadowSuite handles all combinations of currencies, asset classes, and transaction types on a real-time, exception basis. ShadowSuite has real-time interfaces with DTC, DTC ID, NSCC, FICC, BNY Mellon, JP Morgan Chase, OCC and SWIFT. ShadowSuite supports equities and fixed income including government, when issued, agency, MBS, TBAs, CMO, ABS, corporate, municipal, convertible, emerging market, floating rate, sovereign, high-yield and capitalized regardless of currency; derivatives including listed and OTC options, futures, ADRs and ETFs; foreign exchange for overnight, spot and forward; currency deposits; financing transactions including swaps, repo, tri-party and securities lending; and enterprise-wide management of cash, collateral, position and foreign exchange exposure. For more information, please visit www.shadowfinancial.com.