Trade Cycle
Connect all components of your trade cycle on CanDeal.
Pre-Trade
CanDeal has changed how fixed income professionals collect market information and perform price discovery. Industry trusted market data, analytics and market commentary help participants make trading decisions quickly and efficiently. Setting up a trade ticket takes seconds. Buy-side participants have the option to engage multiple dealers simultaneously or discreetly access dealers through a variety of unique trading tools, methods and protocols.
For more information on our trading protocols click here
Trade Execution
Dealers respond to requests with firm prices within a matter of seconds, providing buy-side participants with the option to transact or not. Executed trades are confirmed instantly and allocations can be made online.
Post-Trade
CanDeal offers four trade processing options that can be built into existing infrastructure. You can integrate with one of the following options:
- Build to an API – real-time
- FIX Messaging Protocol
- XML integration with products such as:
- Order Management System
- Treasury Management System
- Accounting System
- Risk Management System
- Flat-file – near real-time
- Downloadable trade blotter into Excel
- Back office trade blotter screen
In addition to post-trade processing, buy- and sell-side participants have access to a number of post-trade reports to gain further insight into their CanDeal trades.
For more information on reporting click here


