Services to Banks, Investment Firms and the wider financial sector
Over the past two decades, risk management in financial institutions has evolved into a critical function with highly defined processes for identifying, measuring, and monitoring risks over specified controls. The broadly divergent outcomes among financial institutions weathering the recent financial crises have further highlighted the critical importance of effective risk management, moving the discipline to the top of regulatory concerns.
We have unrivaled knowledge of current and emerging regulatory and supervisory perspectives as well as industry best practices in risk analytics, governance and reporting.
Banks, Investment Firms and other financial sector companies are required to develop and maintain current, forward-looking risk management systems, informed by the analytics and measurement methodologies needed to support sound decision-making. As experts on enterprise-wide risk management, we perform top-to-bottom reviews and provide sophisticated recommendations for better managing and controlling risk. Our reviews include evaluating the risk governance framework, the core management processes by which risks in the organization are identified and measured; controlled and monitored; tested, tracked, and remediated; and reported to governing bodies.