INDUSTRIES & USE CASES
Configured for your industry. From day one.
TransRisk comes pre-configured with the commodities, instruments and workflows relevant to your sector — not a blank template you spend months setting up.
See Your Industry DemoIndustry-specific configurations
Auto & Auto Components
Industrial metals · Rubber · Plastics
Risk challenges
- Raw material cost volatility directly impacts margins on long-term OEM contracts
- Hedge performance is tracked separately from procurement — no single P&L view
- Management needs exposure by plant, by component, by quarter simultaneously
How TransRisk solves this
- Commodity-to-end-product conversion: view copper risk as wiring harness cost risk
- Four P&L measures including Margin P&L aligned to OEM pricing cycles
- Plant-level dashboard with drill-down to individual purchase orders
Edible Oils & Oilseeds
Crushing · Refining · Procurement
Risk challenges
- Multiple inter-related commodities with complex conversion ratios (CPO to PFAD, CPO to Olein)
- Crushing margins shift daily — difficult to track in real time across plants
- Basis risk between physical procurement location and exchange-traded futures price
How TransRisk solves this
- By-product and co-product conversion rules built into the exposure engine — configure once, auto-converts daily
- Margin Analytics module tracks crushing margin P&L daily across all plants simultaneously
- Basis risk quantified within the VaR framework — included in the portfolio risk number
Rubber & Tyre
Plantations · Processing · Manufacturing
Risk challenges
- Multiple natural rubber grades have different price dynamics — grade-level exposure tracking needed
- Tyre manufacturers need hedge performance tracked against production schedule and OEM commitments
- Plantation companies need visibility from farm purchase through shipment to final sale
How TransRisk solves this
- Grade-level exposure engine — track RSS 3 separately from SMR 20 in the same portfolio
- Shipment-wise P&L tracking from purchase through production to sale
- What-if simulation: model hedging different proportions of forward production before committing
FMCG & Consumer Goods
Procurement · Supply chain · Margin management
Risk challenges
- Consumer price commitments create long-term fixed-cost raw material exposure across multiple commodities simultaneously
- Procurement, finance and supply chain teams all need different views of the same risk data
- Multiple raw materials with different hedging liquidity — some hedgeable, some not
How TransRisk solves this
- Multi-commodity portfolio exposure in a single dashboard — all commodities consolidated with drill-down to individual procurement lots
- Role-specific dashboards: procurement sees exposure · finance sees P&L · management sees limit utilisation
- Separate P&L tracking for hedgeable vs. un-hedgeable exposure — clear accountability at each level
Metals & Mining
LME · COMEX · Exotic derivatives
Risk challenges
- Exotic instruments (Asian options, collars, barriers) require complex VaR calculations that generic systems cannot handle
- Multi-location inventory creates a complex net exposure picture across warehouses and entities
- Regulatory and audit requirements demand documented, reproducible risk methodology
How TransRisk solves this
- Full exotic derivatives support: Asian, Barrier, Collar, Digital options — all priced and included in VaR
- Location-level exposure consolidation with drill-down to individual inventory lots
- Documented VaR methodology with backtesting reports on LME commodities — audit-ready output
Commodity Trading Houses
Multi-commodity · Multi-desk · Multi-entity
Risk challenges
- Multiple trading desks with independent books need a consolidated portfolio risk view that updates automatically
- Limits need to be enforced across desks, traders and instruments simultaneously — not monitored manually
- Senior management needs a single-screen overview of the entire book without drilling through individual desk reports
How TransRisk solves this
- Multi-desk, multi-trader portfolio consolidation — all books visible in the Management Dashboard with full drill-down available
- Automated limit alerts across all dimensions simultaneously: desk · trader · commodity · market
- Strategy Cockpit gives senior management one-screen portfolio overview updated automatically each morning
ALL INDUSTRIES
We cover 13 industries and 30+ commodities.
If your sector is not listed above, our team will configure a demo for your specific commodity portfolio.
Talk to an ExpertAdditional industries covered
PRE-CONFIGURED DEMO EDITIONS
Six ready-to-run demo editions
Each pre-loaded with the commodities, prices and workflows of its target industry.
Enterprise Edition
Multi-commodity · Multi-division
- All major commodity groups
- Multi-entity, multi-currency architecture
- Full module suite including SAP integration
- Suitable for diversified industrial groups
Oil & Oilseeds Edition
Crushing · Refining · Procurement
- CPO, PFAD, Olein, Stearin
- Soybean, Sunflower, Mustard, Coconut
- BMD, CME, NCDEX price feeds
- Crushing margin P&L module included
Rubber Edition
Plantations · Processing · Tyre manufacturing
- SMR 20, ISNR 20, SIR 20
- RSS 3, RSS 4, RSS 5, ISNR grades
- SGX Rubber futures price feed
- Shipment-wise P&L tracking included
FMCG Edition
Consumer goods · Procurement · Finance
- Edible oils, Sugar, Grains, Dairy
- Packaging materials (HDPE, PP, tin)
- Role-specific dashboards for 4 teams
- Margin Analytics for finished goods
Auto Edition
Auto & components · OEM supply chain
- Copper, Aluminium, Zinc, Lead (LME)
- Steel, Iron, Natural Rubber, Plastics
- Component-level cost risk mapping
- OEM pricing cycle P&L alignment
Currency Edition
Treasury · Forex · Multi-currency groups
- USD, INR, EUR, MYR, IDR, JPY
- GBP, THB, ZAR and emerging market pairs
- Currency risk integrated with commodity VaR
- Multi-entity consolidated forex exposure
See how TransRisk looks on your industry's data.
Every demo is pre-configured for your sector. No generic walkthroughs. No blank templates.