Gainforthic platform dashboard displaying idle capital analysis and risk-weighted allocation models
Platform Features

Every module built to put idle capital to work, deliberately.

Gainforthic combines risk-weighted modelling, continuous monitoring, and audit-ready reporting into a single workflow — so treasury and finance teams can act on capital decisions with confidence rather than guesswork.

Built for scrutiny. Every feature below is designed to hold up under internal audit, regulatory review, and board-level questioning.
Core Capabilities

Four pillars behind every allocation decision

Gainforthic is structured around a simple premise: idle capital should be visible, modelled, monitored, and explainable at every stage. These are the features that make that possible.

Modelling

Risk-weighted allocation engine

Capital positions are scored against configurable risk tolerances before any allocation suggestion is surfaced. Thresholds are set by your team, not hard-coded, so the engine reflects your actual mandate rather than a generic template.

Monitoring

Continuous position tracking

Positions are re-evaluated on an ongoing basis as conditions change, rather than left to a quarterly review cycle.

Security

AES-256 encryption

Data at rest and in transit is encrypted to AES-256 standards, with UK data residency maintained throughout.

Reporting

Audit-ready output

Every recommendation carries a traceable rationale, formatted for internal review and external audit alike.

Alignment

UK regulatory alignment

Modelling logic is built with current UK regulatory expectations in mind, reviewed as frameworks evolve.

Feature Spotlight

See where capital sits idle, and why

Gainforthic maps your capital positions against activity, mandate constraints, and risk tolerance in one view. Instead of exporting spreadsheets across departments, your team works from a single reconciled picture of what is deployed, what is idle, and what is flagged for review.

  • 01

    Unified position view

    Consolidates capital data from multiple sources into one consistent, continuously updated view.

  • 02

    Configurable risk bands

    Set your own thresholds for what counts as idle, underutilised, or appropriately deployed.

  • 03

    Change alerts

    Flags are raised when a position shifts out of its expected band, so review happens before the gap widens.

Gainforthic team reviewing capital allocation analysis on screen
How It Fits Together

From raw position data to a reviewed recommendation

Each feature in Gainforthic plays a specific role in a single pipeline — nothing is a standalone tool bolted on after the fact.

Step 01

Ingest

Capital and position data is pulled into a consolidated model, normalised against your existing structures.

Step 02

Model

The risk-weighted engine scores each position against your configured tolerances and mandate constraints.

Step 03

Monitor

Positions are tracked continuously, with flags raised whenever conditions move outside expected bands.

Step 04

Report

Findings are compiled into audit-ready output with a traceable rationale for every recommendation.

Built On

The foundations every feature sits on

These aren't separate add-ons — they're the baseline every module in Gainforthic is built against.

ENCRYPTION

AES-256 at rest and in transit

All stored and transmitted data is encrypted to AES-256 standards across the platform.

RESIDENCY

UK data residency

Data is held within the UK, aligned with current regulatory expectations for financial services.

AUDITABILITY

Traceable modelling logic

Every output can be traced back to the inputs and thresholds that produced it.

Ready to see these features against your own capital data?

Request a briefing and we'll walk through how Gainforthic applies its modelling and monitoring features to a position set like yours.