Financial markets

More volume. Same team.

Turn manual processes into applications your team and agents run together. Handle more work with the people and systems you already have.

Trade overview16 Sep 2026
Open trades
3
Today
1
Overdue
1
TR-1050 Buy2 days overdue

Counterparty C

Resolve missing delivery terms

Owner: MorganDue date: 14 Sep 2026
TR-1048 BuyToday

Counterparty A

Validate the signed confirmation

Owner: AlexDue date: 16 Sep 2026
SOC 2 Type IIProcessed in the EUNever used for training
Trusted with the work
that has to be right.

Across your middle and back office.

From checking trade details to preparing settlement and reporting, build applications around the work between your systems. Start with the process that takes too much manual effort.

Your CTRM, OMS and accounting systems stay right where they are.

Trade oversight & handoffs

Bring trade status, outstanding checks and ownership into one view. See what’s missing, what’s overdue and which person or team needs to act next.

What comes in

Trade records, documents and team updates

What your team gets

A clear status, next step and owner for every trade

Contract & confirmation checks

Compare contracts and confirmations with your trade records or forward book. Surface mismatched terms with the original documents ready for review.

What comes in

Contracts, confirmations and trade records

What your team gets

Exceptions your team can check and resolve with the source in view

Position & stock reconciliation

Match internal positions against registry or external records across different formats. Bring discrepancies together so your team can investigate them.

What comes in

Internal positions, stock records and registry files

What your team gets

Matched records and a clear view of the differences to resolve

Settlement preparation

Bring together instructions, supporting documents and key dates. See what is missing and who needs to resolve it before settlement.

What comes in

Settlement instructions, trade terms and supporting documents

What your team gets

A shared view of settlement requirements and outstanding items

Correspondence & document handling

Classify incoming notices, invoices and counterparty emails. Connect them to the right record and team, so the context stays with the work.

What comes in

Shared mailboxes, notices, invoices and attachments

What your team gets

Organised correspondence linked to the relevant trade or process

Operational reporting & audit preparation

Bring process data, exceptions and recorded decisions together for operational reviews. Keep the supporting documents and history available when someone asks for evidence.

What comes in

Application records, exceptions and activity history

What your team gets

Operational reports and supporting evidence in one place

Enterprise, from the start

Control is part of the architecture.

Explore enterprise controls

Access follows the data.

Rights defined once. Inherited by every application and agent.

Activity log

Every action leaves a trace.

People and agents. One complete, exportable history.

Deploy in your VPC.

Run dibby in your own AWS, Azure or Google Cloud environment.

Single sign-on

Your existing identity provider.

Roles and permissions

Define access by user, role or group.

SOC 2 Type II

Independently audited.

Your data stays yours

EU processing. Never used for training.

Evidence by architecture

A history you can account for.

Who did what, when, on which record. People and agents, in one exportable trail.

Every identity

Access follows the user or agent, down to each row and column.

Every decision

Checks, changes and human approvals are recorded as they happen.

Ready for review

When an audit asks for evidence, export the trail from the process.