RFI - Investment & Receivership Asset Management (IRAM)

Location: Virginia
Posted: May 14, 2026
Due: Jun 15, 2026
Agency: FEDERAL DEPOSIT INSURANCE CORPORATION
Type of Government: Federal
Category:
  • D - Automatic Data Processing and Telecommunication Services
Solicitation No: FDIC-RFI-IRAM
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RFI - Investment & Receivership Asset Management (IRAM)
Active
Contract Opportunity
Notice ID
FDIC-RFI-IRAM
Related Notice
Department/Ind. Agency
FEDERAL DEPOSIT INSURANCE CORPORATION
Sub-tier
FEDERAL DEPOSIT INSURANCE CORPORATION
Office
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General Information
  • Contract Opportunity Type: Sources Sought (Original)
  • Original Published Date: May 14, 2026 10:00 am EDT
  • Original Response Date: Jun 15, 2026 03:00 pm EDT
  • Inactive Policy: Manual
  • Original Inactive Date: Jul 31, 2026
  • Initiative:
    • None
Classification
  • Original Set Aside: No Set aside used
  • Product Service Code: DA10 - IT AND TELECOM - BUSINESS APPLICATION/APPLICATION DEVELOPMENT SOFTWARE AS A SERVICE
  • NAICS Code:
    • 513210 - Software Publishers
  • Place of Performance:
    Arlington , VA 22226
    USA
Description

See attachment for the full scope of this Request for Information. Please be clear in identifying your response to each question in the attachment.



Division of Finance (DOF) – Treasury Operations



DOF Treasury Operations manages two fixed‑income portfolios, the Deposit Insurance Fund (DIF) and the National Liquidation Fund (NLF), funded through assessments and interest earned on U.S. government obligations and agency (GSE) debt securities. Investments are governed by FDIC corporate investment policies under section 13(a) of the Federal Deposit Insurance Act and are executed via Treasury’s Bureau of the Fiscal Service (FedInvest) in Government Account Series (GAS) securities (e.g., bills, notes, bonds, TIPS, STRIPS, floating‑rate notes), with robust analytics needed for GSE debt (credit, prepayment, callability, liquidity).



DOF seeks information on fixed‑income investment platforms (front‑to‑back office) to replace its current system (PORTIA) and to support U.S. Treasury obligations managed via FedInvest, emphasizing modeling, scenario analysis, analytics, reporting, data integration, and operational capabilities suitable for a mission‑focused public‑sector investor.



Division of Resolutions & Receiverships (DRR)



DRR is responsible for resolving failing institutions and administering receiverships, which includes the intake, valuation, servicing, management, marketing, and disposition of a wide range of asset types (e.g., loans, securities, real estate, receivables, collateral, and other financial assets). These activities require strong governance, data integrity, valuation transparency, operational controls, and auditability to support FDIC’s statutory least‑cost resolution mandate and regulatory standards.





DRR is seeking an integrated Asset Management, Servicing, and Sales platform that supports the full lifecycle of receivership assets, from pre‑closing data ingestion and valuation through ongoing management, servicing, reporting, and final disposition. Required capabilities include robust asset profile fields, accounting, analytics, dashboards, security, workflow management, and audit trails.


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Primary Point of Contact
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History
  • May 14, 2026 10:00 am EDTSources Sought (Original)
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