Headquartered in New York with offices in London and Hong Kong,
Hazeltree provides treasury management solutions for the buy side, based on time-tested best practices developed and used by successful investment managers over the past decade.
Hazeltree’s Integrated Treasury Management Solution helps customers currently managing over $1.2 trillion in assets capture unrealized alpha from operations, manage counterparty risk exposure, comply with escalating regulatory requirements and improve operational efficiency.
Launched in 2011, Hazeltree’s complete treasury management solutions include comprehensive cash management, securities financing, collateral management, counterparty management, and prime-broker margin management capabilities.
While each of these products enables improved performance and control of specific functions, Hazeltree is most powerful when working as an integrated treasury management suite.
All products are delivered through a single user interface and supported by a common state-of-the-art data warehouse and management infrastructure that integrates and normalizes feeds from multiple sources, performs quality checks and provides an extensive and historical audit trail.