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Financial Custody and Settlement Services

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State & Local

Contract Overview

Solicitation details, issuing organization, response deadlines, documents, and interested companies for this government contract opportunity.

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The contract titled Financial Custody and Settlement Services seeks a subcontractor to provide comprehensive custodial services for financial assets and transaction settlement support, including reconciliation of accounts, safeguarding of funds, and detailed reporting. The services must ensure the integrity, security, and accurate tracking of financial instruments and settlements, with emphasis on operational precision and regulatory compliance. The scope encompasses end-to-end custody functions critical to maintaining trust and transparency in financial operations. The opportunity is posted by Metro Houston under the Texas agency organization, with a North American Industry Classification System code of 523930, indicating it relates to other financial investment activities. The contract type is designated as a subcontract, and the response deadline is set for September 2, 2026, at 7:00 PM. Despite the lack of specific location or point of contact details, interested parties are directed to the official portal at the provided link for further submission instructions and requirements. The solicitation does not specify any set-aside provisions, making it open to eligible subcontractors without classification-based restrictions.

General Info

Subcontract for financial custody, settlement, and reporting services with deadline September 2, 2026.

Agency

Texas → Metro HoustonView Agency

NAICS

523930 - Investment Advice

Place of Performance

TX, USA

Set-Aside

NONE

Documents

(0)

No documents available

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Timeline

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Response Deadline

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Organization & Contact Information

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AgencyTexas → Metro Houston
ContactsNo contacts available
OfficeN/A
Organization / Agency
Texas → Metro Houston
View Agency Profile
Office AddressN/A
ContactsNo contact information available

Full Description

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Provide custodial services for financial assets or transaction settlement support, including reconciliation, fund safeguarding, and reporting.

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