Enterprise capital management at the speed of markets.
dFinance ingests millions of tick-data events per second for real-time portfolio risk, automates month-end reconciliation, and maps every asset class into a single dashboard.

Institutional-grade finance tools for your enterprise
dFinance gives your treasury and finance teams the same data infrastructure used by quantitative hedge funds.
High-Frequency Analytics
Ingest millions of tick-data events per second into our columnar time-series database for real-time portfolio risk calculation and Value at Risk (VaR) modeling.
Automated Reconciliation
ML algorithms auto-match ledger entries against bank statements using robust fuzzy logic — reducing month-end close times by up to 80% with exception reporting.
Multi-Asset Portfolio Maps
Unified dashboard aggregating equities, fixed income, real estate, derivatives, and blockchain tokens into a single real-time pane of glass.
Regulatory Reporting
Auto-generate IFRS 9, GAAP, and Basel III compliant financial reports on schedule. Built-in audit trails satisfy external auditor requirements out of the box.
Treasury Risk Management
Monitor FX exposure, interest rate risk, and liquidity gaps in real time. Set automated hedging triggers based on your defined risk tolerance thresholds.
Scenario & Stress Testing
Run historical and Monte Carlo stress scenarios across your entire portfolio to model tail risks and validate capital adequacy under extreme market conditions.

Risk calculated in real time.
Before it materializes.
dFinance's time-series engine provides your risk desk with live portfolio Greeks, VaR estimates, and liquidity metrics — updated on every market tick, not end-of-day.
Real-Time Value at Risk (VaR)
Parametric and historical simulation VaR updated continuously across your full portfolio — no overnight batch runs.
Multi-Currency Ledger
Manage positions and P&L simultaneously in 150+ currencies with live FX rate application and hedging overlays.
API-First Architecture
All dFinance data is accessible via REST and WebSocket APIs, enabling direct integration with your existing ERP and treasury systems.
Frequently Asked Questions
What asset classes does dFinance support?
dFinance supports equities, fixed income instruments, real estate, derivatives, and blockchain tokens — all aggregated into a single unified portfolio dashboard.
How fast is dFinance data ingestion?
dFinance can ingest millions of tick-data events per second into its columnar time-series database for real-time portfolio risk calculation and Value at Risk (VaR) modeling.
Does dFinance automate month-end reconciliation?
Yes. Machine learning algorithms automatically match ledger entries against bank statements using fuzzy logic, reducing month-end close times by up to 80%.
Modernize your enterprise finance operations
Real-time analytics. Automated reconciliation. Multi-asset portfolio management. Deploy dFinance today.