
Power-Deriva provides back-office and balance settlement services that simplify daily trading and regulatory processes for electricity companies.
From EMIR and REMIT reporting to trade confirmations, clearing, and balance management, we ensure smooth operations, transparency, and full compliance—so you can focus on your core business.
Back Office Services
Back Office services for electricity companies—precise support for day-to-day derivative trading
Power-Deriva handles regulation, reporting, and settlement tasks on behalf of electricity companies—allowing you to focus on price risk management and customer service. The administrative work behind derivative trading requires time, expertise, and accuracy. Power-Deriva’s Back Office services free electricity companies from manual tasks and regulatory burden by providing efficient, expert support for daily trading operations.
We handle EMIR and REMIT reporting on behalf of our clients, continuously monitoring regulatory changes to ensure accurate reporting and compliance with submission deadlines. We perform systematic trade confirmations and settlements, reducing the risk of errors and providing easy-to-use tools for comprehensive oversight.
Each month, we deliver clear performance reports for your derivatives portfolio—by portfolio, counterparty, production asset, and cash flow. The reports are customized to meet your internal and external reporting needs. We also manage communication with clearing parties and provide customer support on every trading day of the year. Our goal is to make your derivative trading smooth, transparent, and error-free, without extra effort.
Imbalance Settlement Services
Imbalance Settlement Services for Electricity Market Participants
Power-Deriva provides balance settlement services for BRPs, BSPs, and DSOs—efficiently and accurately.
Our imbalance settlement services are designed for Balance Responsible Parties (BRPs), Balance Service Providers (BSPs), and Distribution System Operators (DSOs). The service covers the entire imbalance settlement process from structure management to data transfer and verification calculations.
We manage and maintain balance structures, delivering all necessary data to Fingrid and eSett systems promptly. Concurrently, we produce comparison calculations and verification reports to ensure that there are no discrepancies or omissions in eSett’s imbalance calculations or Fingrid’s reported values.
Through our Energy Management System interface, data entry and reporting related to imbalance settlement are straightforward and intuitive. For communication between market participants, we use modern messaging and API interfaces.
We also provide standard reports and optional invoicing reports tailored to the balancing model and your specific needs, supporting internal business monitoring while ensuring transparency and efficiency throughout the process.
Our clients
Direct contact
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Suvi Paaso
Managing Director, Power-Deriva Oy
+358 50 453 6054
firstname.lastname@power-deriva.com -

Toivo ToikkaÂ
Head of Middle- and Back-Office Services
+358Â 50 560 3004
firstname.lastname@power-deriva.com


