Software pain points
- Collateral data arrives in inconsistent issuer, servicer, and trustee formats
- Pricing comps are fragmented across Bloomberg Terminal, TRACE, dealer runs, emails, and prior-deal books
- Model assumptions and overrides are hard to audit after launch
- Legal, rating-agency, and investor requests create repetitive manual document work
- Market-data contracts restrict redistribution of vendor-derived prices and analytics
- Post-close surveillance is disconnected from origination assumptions
