Retail Solution Suite -Dolphin Retail - KGiSL

Dolphin Retail

Dolphin – Retail is an innovative solution for integrating various back-office processes of brokerage firms. Dolphin – Retail is the ONLY ‘fully integrated solution’ available in the marketplace today catering to this domain.

Dolphin – Retail offers a comprehensive solution for automation of back-office operations of stockbrokers with near real-time processing while maintaining data integrity. There are many back-office products available in the market today, with all making tall claims about integrated solutions, but in reality, no product is as FULLY INTEGRATED as Dolphin – Retail.

Dolphin – Retail is not just another software product, it is a solution suite and a framework onto which you can build and deploy so many different components in a tightly integrated manner. Dolphin – Retail is built using the latest and best of technology (with .Net as the front end and Oracle as the back- end). It is easily and rapidly deployable as it is using a web – services model.


It can work on any type of connectivity, be it Dial-up, Broadband, VSAT or VPN. It works on a thin – client mechanism and the branch level application is comparable to any other Instant Messenger application it is so small and yet so powerful.

Dolphin – Retail Solution Suite supports all the major exchanges/segments/depositories in financial markets such as:

  • National Stock Exchange (NSE) Capital Market
  • National Stock Exchange Futures & Options (NSE F&O) Segment
  • National Stock Exchange (NSE) Currency Derivatives
  • Bombay Stock Exchange (BSE) Capital Market
  • Bombay Stock Exchange Futures & Options (BSE F&O) Segment
  • Multi-Commodities Exchange of India Ltd., (MCX) Commodities Exchange
  • Multi-Commodities Exchange of India Ltd., (MCX) Currency Derivatives
  • Comprehensive Collateral Management system
  • National Securities Depository Ltd. (NSDL) Depository Participant Back-office
  • Central Depository Services India Ltd. (CDSL) Depository Participant Back-office
  • Control is centralized at the head office in addition to multiple branch support
  • Provisions for flexible definition of user rights at various levels to facilitate application usage
  • Straight Through Processing technology
  • Innovative reporting technology for clear and organized reports (Drill down option to the base level)
  • Option to reverse at process level – Trade, Contract Note etc
  • Comprehensive regulatory compliance reports
  • Facility to generate electronic contract note
  • Automated system processes
  • Allocation of securities based on cleared funds not on ledger balance
  • Payout based on client-category
  • Beneficiary release to clients based on funds receipt
  • Marking of securities for pay-in – inter settlement, retention, POA, other exchange pool account
  • Bank reconciliation against book entry and bank entry
  • Distribution of securities/funds held in CM pool/beneficiary/collateral account due to corporate action
  • Working capital requirement for exchange / client pay in
  • Client dues follow-up
  • Data level locking based on administrator-specified
  • 24/ 7 service
  • Backed by committed software professionals
  • Client/principal association beyond business
  • Handles multiple exchanges and multiple segments
  • Internal mailing facility
  • Option to send SMS to clients
  • No manual intervention required across department resulting in higher efficiency
  • Client level consolidated data across exchange/depository
  • Client / sub broker /remisier can view the data online through NTrust Web suite
  • Complete integration of trade account with company accounts
  • Client data captured at the branch level, which enable access to only branch users/administrators
  • Cost center / Internal order capturing for accounting data
  • Reports branch wise and company wise
Feel free to reach us anytime.

Simply just put in a mail.