Risk Management Solution

Risk managers and regulators are demanding increased transparency and efficiency in risk analysis to address the heightened challenge of providing meaningful risk information. Better data management will provide better internal management and detailed reporting for the Board as well as information that is critical to the growth and stability of the global market to the external Regulators.

Our Risk Management Solution provides a unified risk and profitability analysis and covers broad scope and depth of financial analysis. Our Risk Management Solution includes following modules:

  • Asset Liability Management
  • Market Risk
  • Credit Risk
  • Basel II
  • Liquidity Risk
  • IFRS
  • Solvency II
  • Fund Transfer Pricing
  • Economic Capital Allocation

If you interested on our risk management solution, please contact us for more information