The platform

A complete trading platform for the energy markets.

Eight tightly-integrated modules on a single real-time data model — covering front, middle and back office for physical and financial energy trading.

nova — trading desk · live connected

Net P&L (MTD)

+$4.82M

Open Positions

1,284

VaR (95%, 1d)

$1.13M

Limit Usage

62%

Illustrative interface mock-up — sample data only.

The trade lifecycle

One continuous pipeline, end to end.

Every deal flows through five connected stages on a single data model — watch it move.

  1. 01 · Front office

    Capture

    Book physical & financial deals in seconds.

  2. 02 · Front / Middle

    Position

    Live, netted positions across books.

  3. 03 · Middle office

    Risk

    MtM, VaR & limits in real time.

  4. 04 · Operations

    Schedule

    Cargo, pipeline & storage logistics.

  5. 05 · Back office

    Settle

    Invoicing, confirmations & reporting.

01 — Front office

Trade Capture & Deal Management

Book physical and financial trades in one place — crude, products, gas, LNG, power, emissions — with the instruments and conventions each market actually uses.

  • ✓ Physical & derivatives (futures, swaps, options, FX)
  • ✓ Formula & index-linked pricing
  • ✓ Deal capture, amendment & lifecycle events
  • ✓ Audit trail on every change
DEAL #88241CONFIRMED
CommodityBrent Crude TypePhysical · Buy Volume500,000 bbl PricingDated Brent + 0.45 DeliveryRotterdam · Aug CounterpartyHelios Energy SA
02 — Front / Middle office

Position Management

A live, netted view of your book across commodities, locations and tenors — updated the moment a deal is booked or the market ticks.

Real-time netting

Across books, desks & legal entities.

Multi-dimensional

Slice by commodity, location, period.

What-if analysis

Test trades before you commit.

03 — Middle office / Risk

Market & Credit Risk

Quantify exposure continuously. Mark-to-market, Value-at-Risk and sensitivities are recomputed intraday, with counterparty credit limits enforced at the point of trade.

MtM & P&L

Live valuation & attribution.

VaR & stress

Historical & Monte-Carlo, scenarios.

Greeks & sensitivities

Delta, gamma, vega by curve.

Credit & limits

Exposure, collateral, limit checks.

04 — Operations

Logistics & Scheduling

Move the physical barrel, molecule or megawatt. Manage cargoes, pipeline nominations, storage and inventory — linked back to the originating trade.

Cargo & vessel

Laycans, demurrage, actualization.

Pipeline & nominations

Scheduling and balancing.

Storage & inventory

Tank, terminal & book stock.

05 — Back office

Settlement & Invoicing

Turn confirmed trades into cash with straight-through processing — automated confirmations, invoicing, payments and reconciliation.

  • ✓ Trade & volume confirmations
  • ✓ Automated invoice generation
  • ✓ Cash & payment management
  • ✓ Reconciliation & dispute handling
06 — Middle / Back office

Compliance & Regulatory Reporting

Reporting becomes a by-product of the system, not a scramble. Generate submissions for the major regimes from the same data that runs your desk.

EMIR REMIT Dodd-Frank MiFID II Position limits
07 — Cross-office

Analytics & Dashboards

Role-based dashboards for traders, risk and management — plus an open data layer for your own BI and quant tooling.

Trade coverage

Every commodity, physical and paper.

One platform trades delivered cargoes and financially-settled instruments side by side — each with the conventions, lifecycle and controls its market actually uses. Physical and Paper are cleanly separated, RBAC-governed and reported apart.

Physical Trading

Delivered commodities

Buy and sell physical cargoes end to end — capture, KYC, contract, pricing, chartering & operations, liftings, inventory and settlement.

Crude Oil

Brent, WTI, Dubai, Oman, Forties — grades, laycans, quality & demurrage.

Refined Products

Gasoil, naphtha, jet, mogas — terminal terms & product specs.

Ethanol & Biofuels

Renewable fuel capture with its own family workspace.

Coal

API2/API4, calorific value, tonnage, laytime & payment terms.

LNG & Natural Gas

SPA/MSPA, terminal slots, boil-off & gas-hub imbalance cash-out.

Hydrocarbons (NGLs)

Condensate, LPG, propane, butane — grade, tolerance & scheduling.

Polypropylene

Grade/spec, packaging, shipment window & incoterms.

Carbon Credits

Registry issue → transfer → retire, every event evidence-backed.

  • ✓ KYC-gated counterparties, credit limits & settlement instructions
  • ✓ Formula & index-linked pricing with quotation periods (B/L-month averaging)
  • ✓ Chartering, laycans, NOR/BL events, liftings & inventory valuation
  • ✓ Invoicing, matching, claims, netting & cash settlement
Paper Trading

Financially-settled instruments

Hedge and take positions with derivatives — marked to market, risk-analysed and settled financially, kept distinct from the physical book.

Crude Derivatives

Futures, swaps & options on crude benchmarks.

Product Derivatives

Cracks and product swaps/options.

Gas Derivatives

Henry Hub, TTF, JKM swaps & options.

Freight Derivatives

FFAs and route-based hedges.

Instruments

Futures · Swaps · Options · FX — with formula/index pricing and immutable versioned formulas.

  • ✓ Mark-to-market, parametric & historical VaR, stress scenarios & option Greeks
  • ✓ Hedge effectiveness linked to the underlying physical exposure
  • ✓ Netting-set exposure, collateral ledger & margin-call lifecycle
  • ✓ Reported separately from physical, RBAC-scoped per trade family

Physical vs Paper is a first-class classification: separate capture, risk, reports and permissions — a Crude physical trader and a Crude-derivatives desk are governed independently.

Open by design

Connected to your trading ecosystem.

API-first architecture that plugs into exchanges, market data, and your back-office systems.

Exchanges & brokers

ICE, CME & broker feeds.

Market data

Prices, curves & reference data.

ERP & finance

GL, AP/AR & treasury.

REST & webhooks

Build on an open API.

Architecture & security

Cloud-native, secure, and built to scale.

A modern, multi-tenant SaaS platform engineered for the availability and auditability that trading operations demand.

Role-based access

Granular permissions & full audit logs.

Encryption

In transit & at rest.

High availability

Designed for 24/7 market hours.

Data ownership

Your data, exportable, always.

See the platform on your own workflows.

Become an Early Client