
Our Services
Turnkey Trading Solutions
We deliver execution, clearing, and post-trade services—so you don't have to build internal infrastructure.
What We Do
We provide professional clients with a turnkey fully/hybrid outsourced trading solution that spans execution, clearing, and post-trade operations. Acting as an extension of your team, Novion connects you to global markets and manages the complexity so you can focus on performance.
Execution & Market Access
We provide access to global listed and OTC markets across commodities, FX, rates, and equities. Our multi-asset desk delivers precise execution tailored to your strategy, whether trading or hedging.
- Broker-Agnostic Routing: We operate a broker-neutral model, routing orders to the most competitive counterparties and venues to ensure best execution based on price, liquidity, speed, and venue reliability.
- Asset Class Coverage: Trade futures, options, swaps, CFDs, and structured products across global markets with full visibility and control.
- Discretion & Confidentiality: Every order is handled with institutional discretion, backed by secure infrastructure and a team trained in high-touch execution.

Clearing & Settlement
Our innovative clearing solutions streamline post-trade processes and enhance capital efficiency across all major global exchanges.
- Clearing Access: Gain seamless access to ICE, CME, LME, Eurex, and other key venues through our robust network and clearing infrastructure.
- Margin & Collateral Efficiency: We employ sophisticated netting and offsetting strategies to reduce margin drag and optimise your capital usage.
- Integrated Post-Trade Workflow: From trade matching and confirmation to margin updates and settlement, we manage the full clearing lifecycle with precision.
- Transparency & Oversight: Enjoy real-time visibility across margin, P&L, and reconciliation, supported by clear, compliant reporting and operational transparency.

Operational Support
Behind every trade, there's an infrastructure that needs to work flawlessly. Novion handles all operational complexities so you don't have to.
- Onboarding & Setup: We manage KYC, AML, account funding, and settlement instructions with speed and compliance. Our onboarding process is designed to get you trading quickly and securely.
- Lifecycle Management: We handle the full trade lifecycle—including trade capture, daily P&L, position tracking, margining, and reconciliation.
- Regulatory Reporting: Clients benefit from automated and compliant reporting aligned with MiFID II and other regulatory obligations.
- End-to-End Support: Our team is available 24/5 to assist with trading queries, account updates, and any operational follow-ups.

“Outsourcing trading is a partnership. It’s about giving our clients the space to stay focused on the bigger picture, while we take care of the rest. From execution to settlement everything is managed with efficiency and care.”
— Saeed Noury, CEO, Novion
Flexible Service Models
At Novion, we recognise that no two clients are the same. Each has their own structure, resources, and ways of working — and our service adapts to fit.
Fully Outsourced : Our team becomes your trading desk — handling execution, clearing, and post-trade operations from end to end. This turnkey solution is ideal for firms looking to reduce internal complexity while maintaining full access to global markets and institutional infrastructure.
Hybrid Support : For clients with in-house trading teams, we provide a flexible, collaborative model. Leveraging Novion’s deep market network and unparalleled expertise, we look after all elements of OTC trading while you stay in control of electronic execution, with access to platforms such as TT, CQG, Fidessa etc. All the while we continue to manage the surrounding infrastructure — clearing, reporting, and operational support — ensuring a smooth, compliant process from start to finish.

Why Outsource?
From regulation to cost control—outsourced trading answers the challenges institutions face daily.
What it means:
Maintaining an in-house trading desk is resource intensive. It requires permanent investment in personnel, technology, market data, regulatory systems, and exchange connectivity — regardless of trading volume.
Key benefits:
- Convert fixed overheads into variable costs tied to trading activity
- Eliminate capital spend on systems, trading platforms, and exchange memberships
- Reduce dependence on internal IT, compliance, and operations teams
- Preserve institutional-grade capabilities without the internal burden
What it means:
Trading activity across global markets triggers significant compliance requirements — from best execution and trade reporting to post-trade transparency and audit trails.
Key benefits:
- Access infrastructure already built to meet UK and global regulatory standards
- Reduce internal compliance workload and oversight burden
- Benefit from automated reporting, surveillance, and reconciliations
- Mitigate risk with a partner that adheres to regulated processes and controls
What it means:
Traders, analysts, and portfolio managers should be focused on strategy and returns — not daily operational processes, vendor management, or system upkeep.
Key benefits:
- Free up senior team bandwidth for alpha generation and portfolio risk management
- Delegate operational execution while maintaining full oversight and control
- Avoid distractions from low-value, high-volume trade administration tasks
- Improve productivity and alignment within investment teams
What it means:
Building direct access to global exchanges and OTC markets takes time, licensing, and infrastructure. Outsourced trading provides instant access without the delays.
Key benefits:
- Trade across asset classes, geographies, and instruments from day one
- Launch new strategies or access new products without operational bottlenecks
- Leverage our market relationships and aggregated broker network
- Scale execution volumes without scaling internal headcount or cost