Broker-Dealer and Securities Document Automation

Automate trade package review, investor reporting, and compliance with precision and speed.

Trade packages move fast, and expectations are even faster. Broker-dealer teams are expected to verify terms, prepare reports, and meet every deadline without errors. But the files are dense, the data is scattered, and the tables are rarely clean. AiCR helps your team cut through the clutter and move with clarity and confidence.

Request a Demo

Why Traditional Tools Fall Short

Generic tools and manual work introduce delays and risk.

Most platforms aren’t built for the complexity of trade confirmations, custody statements, or position files. Variations in format, complex tables, and high-stakes deadlines make traditional workflows unreliable and slow.

What AiCR Delivers

Purpose-built document automation for broker-dealer and securities teams.

AiCR classifies documents, extracts field-level data, and structures even the messiest files into clean, ready-to-use output. It reads trade confirmations, custody statements, position files, and other key documents like someone who’s done it before.

What AiCR Processes

  • Trade Confirmations and Position Files – Automatically extract deal terms, timestamps, identifiers, and other key values.
  • Custodial Statements Across Formats – Get consistent, accurate data across versions and layouts.
  • Complex Tables and Field Sets – Extracts cell-by-cell from position summaries, interest tables, and more.
  • Investor Reporting and Compliance Documents – Powers audit-ready outputs and accelerates delivery.
  • Integrated Data with Confidence Scoring – Reduces handoffs and shows confidence scores for every extracted field.

Why Broker-Dealer Teams Choose AiCR

Built for fast-moving, high-stakes workflows.