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Use Post Trade Allocations

Post trade allocations let Investment Managers for Multiple Fund accounts quickly and easily allocate some or all trades to defined clearing brokers.

You must define settlement instructions via the Funds Management section of Account Management before you will be able to allocate post trade. You typically do this as part of the account application process.

 

Access post trade allocations by clicking Trade > Post Trade Allocations in Account Management. You can specify post-trade clearing instructions at any time during the trading day, from minutes after execution until 6:00 pm ET. Post trade allocations let you:

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