Kapazitätsverlust durch manuelle Trade-Bestätigungen
Definition
In Xetra-Settlement werden Execution- und Trade-Confirmations elektronisch versendet, aber Settlement-Teilnehmer erhalten separate BOEGA-Reports, die abendlich batch-verarbeitet werden. Dies schafft Zeitfenster für Ablehnungen und manuelle Kontrollen, was zu Bottlenecks führt.
Key Findings
- Financial Impact: 20-40 Stunden/Monat pro Settlement-Team; T+2-Zyklus-Risiken durch Fehlmatches €10.000+ pro Vorfall
- Frequency: Täglich bei hohem Volumen
- Root Cause: Batch-Processing von Reports und manuelle BOEGA-Integration
Why This Matters
This pain point represents a significant opportunity for B2B solutions targeting Securities and Commodity Exchanges.
Affected Stakeholders
Settlement Participants, Clearing Banks, Trading Participants
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Financial Impact
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Current Workarounds
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Methodology & Sources
Data collected via OSINT from regulatory filings, industry audits, and verified case studies.
Related Business Risks
Verzögerte Abrechnung durch Trade-Matching-Fehler
GoBD-Verstoß-Risiken bei unvollständigen Trade-Confirmations
Data Act Verstoßstrafen bei Datenlizenzierung
Fehlende Rechnungsstellung für Mindestgebühren
Jährliche Listing-Gebühren Verzug
Bußgelder bei HFT-Zirkuitbrecher-Verstößen
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