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Knight Beacon


For Bank Treasury

Knight Beacon is robust and feature rich Treasury Management Solution. We bring to you the future of treasury in today’s world with an unprecedented Tech. It is impossible to build this platform without the deep expertise in the industry and cutting edge technological implementation.

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Risk Management Framework

Knight Beacon helps you build risk management framework that strives to cover the full spectrum of risks by analyzing them from both enterprise and industry level perspectives.

Our experts will help you tailor your own risk management policies and processes to your needs and market circumstances by consulting by Board of Directors and senior management along with the treasury team.

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SLR & Non-SLR Advisory

We understand your pain points in SLR assets management. Our solution helps you in taking informed decisions on which securities to buy and sell, and goes even further into deep analysis of your portfolio.

We help you solve the multi-dimensional problem that covers securities related decisions, classification in books like HTM/AFS/HFT, difficult decisions on profit or loss booking, rebalancing of portfolio considering liquidity scenario as well as changes in interest rate environment. We go further into yield curve positioning of your portfolio. In Non-SLR segment, objective is to maximize returns, without taking any significant duration or credit risk.

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Asset Liability Management (ALM)

ALM is a mechanism to address the risk faced by a bank due to a mismatch between assets and liabilities either due to liquidity or changes in interest rates. Incidents in the financial services sector towards the end of 2018, especially in non-banking financial services (NBFCs) have brought to the fore, the importance of a sound Asset Liability Management (ALM) system.

This is built considering RBI’s “Guidelines for Asset Liability Management (ALM) System in Financial Institutions (FIs)” and international standards.

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GAP Analysis

This model measures the direction and extent of asset-liability mismatch through a funding and duration GAP.

This tool helps us construct Structural Liquidity Ladder with Assets and liabilities grouped into time buckets according to maturity. Duration GAP data provides an approximate measure of market value interest elasticity and impact on Net Interest Income (NII).

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Liquidity Management

Holding highly liquid instruments is not the solution to Liquidity Management, as it hampers the profitability as these instruments have lower yields. But liquidity management is not so straightforward, it brings many challenges that treasury and finance teams must constantly be aware of.

With our deep expertise in models across the world and considering international standards, we help you with cornerstone of your treasury, which is Liquidity Management.

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Scenario Analysis

Scenario analysis addresses the issue of uncertainty associated with the future direction of interest rates by allowing the analysis of isolated attributes with the use of ‘what if’ simulations. Simulations serve to construct the risk-return profile of the banking portfolio.

Our Scenario analysis tool, with its advanced controls and ratification methods, can effectively capture the dynamics of yield curve evolution and interest rate sensitivity of key financial variables.

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Stress Testing

A stress test is a projection of the treasury for a bank under a set of severely adverse conditions that might result from several risk factors over several time periods with severe consequences that can extend over decently large time periods.

This tool lets you look into possibilities that you might have never thought about for Scenario Analysis.

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Portfolio Management

Scenario analysis addresses the issue of uncertainty associated with the future direction of interest rates by allowing the analysis of isolated attributes with the use of ‘what if’ simulations. Simulations serve to construct the risk-return profile of the banking portfolio.

Our Scenario analysis tool, with its advanced controls and ratification methods, can effectively capture the dynamics of yield curve evolution and interest rate sensitivity of key financial variables.

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Strengthen your treasury with a solution that is with you every step of your growth journey. Let us show you what we can do for you.

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It’s not over yet. We also provide you with the following to make it easy for you and build robust treasury.

Robust Analytics

Robust Analytics

News & Research

News & Research

In-Depth Reporting

In-Depth Reporting

Expert Advisory

Expert Advisory

Contact Us Let's start Investing!

It’s not over yet. We also provide you with the following to make it easy for you and build robust treasury.

Robust Analytics

Robust Analytics

News & Research

News & Research

In-Depth Reporting

In-Depth Reporting

Expert Advisory

Expert Advisory

Contact Us Let's start Investing!