ORQAI logoORQAI

Treasury, fixed-income, and quant systems for better capital decisions.

ORQAI builds analytical systems that help financial institutions price instruments, monitor portfolios, understand yield movements, assess risk, and make faster, better-informed capital-allocation decisions.

ORQAI provides decision support, analytics, and institutional systems—not investment advice, fund management, brokerage, or licensed securities dealing.

Built for institutional capital decision-makers

Banks and treasury teams

Monitor bond portfolios, yield exposure, and liquidity with analytics built for treasury decision workflows.

Insurers and pension schemes

Assess duration, asset-liability alignment, and fixed-income portfolio intelligence for long-horizon liabilities.

Asset managers and investment advisers

Support relative-value analysis, portfolio monitoring, and quantitative decision tools for client mandates.

SACCOs and financial cooperatives

Understand investment income, liquidity positions, and concentration risk with practical portfolio intelligence.

Fintechs and wealth platforms

Embed fixed-income analytics and portfolio intelligence into customer-facing applications via APIs.

What ORQAI can build

Pricing tools, portfolio intelligence, and quantitative decision systems—designed as institutional analytics, not investment recommendations.

  • Bond pricing and yield analytics
  • Yield-curve construction and monitoring
  • Duration, convexity, and interest-rate sensitivity
  • Treasury portfolio dashboards
  • Fixed-income switching and opportunity alerts
  • Liquidity and concentration monitoring
  • Scenario and stress testing
  • Portfolio optimisation and model allocation
  • Market, macro, and news intelligence overlays
  • APIs for integrating analytics into existing platforms

Example use cases

Treasury bond exposure monitoring

A treasury team wants to monitor bond portfolio exposure as yields move.

Asset-liability duration analysis

An insurer wants to assess duration mismatch between assets and liabilities.

Relative-value opportunity identification

An asset manager wants to identify relative-value opportunities across bonds.

SACCO portfolio intelligence

A SACCO wants to understand investment income, liquidity, and concentration risk.

Embedded fixed-income insights

A fintech wants to embed fixed-income insights into its customer app.

Credible quant and engineering capability

financial-engineering depth

Disciplined modelling for pricing, duration, convexity, yield curves, and portfolio analytics.

Financial-services engineering experience

Production systems for data-heavy, business-critical financial workflows—not prototype dashboards.

AI and data-platform capability

Modern data pipelines and AI integrated with deterministic quant models where precision matters.

Kenya and Africa market context

Built for local market structure, instruments, and distribution realities across African financial markets.

Product-led execution

Reusable intelligence capabilities and shipped systems—not slideware consulting engagements.

How engagements work

  1. Understand the portfolio, data sources, and decision workflow

    Map instruments, data availability, team workflows, and the decisions the system must support.

  2. Design the models, analytics, and system architecture

    Define pricing logic, analytics layers, integrations, and the technical foundation for deployment.

  3. Build dashboards, APIs, and workflows

    Deliver portfolio intelligence tools, monitoring views, and integration points for existing platforms.

  4. Deploy, validate, and improve with users

    Roll out with institutional teams, validate outputs against expectations, and iterate based on usage.

Build better treasury and investment decision systems.

Discuss treasury analytics, bond-pricing tools, or portfolio intelligence systems with the ORQAI team—or explore ORQAI Invest for investor-facing decision support.