We provide wide range of financial risk management service. which help banks, companies, asset managers and corporate and public clients to identify, assess, manage, report and limit the risks they face. In current environment organization & Individual require robust financial risk management frameworks that satisfy compliance demands, contribute to better decision making and enhance performance. Our key objective is to provide comprehensive Insurance & risk management solution,
Our range of services include:
- Credit risk management
- Operational risk management
- Market and liquidity risk management
- Economic capital management
- Identification of threats facing your organization
- Analysis of exposures, historical data, operational reviews, interviews and site visits
- Control strategies are evaluated to avoid, reduce, retain or transfer risk – this includes a detailed review of findings and recommendations within insurance policies and other contracts
- Financing of Risk alternatives are evaluated
- Implementation and Monitoring of the chosen programs
- Capital adequacy & regulatory services
- Commodity & energy risk management
- Financial instruments accounting
- Quantitative evaluation and management of portfolio risks
- Financial engineering
- Finance and treasury management and transformation
- Asset management advisory.
- Risk solution implementation
- Regulatory Capital optimization
- Stress testing
- Debt advisory
- Investment advisory
Our Approach for Risk Management
- Qualitative and Quantitative Analysis – “what and how much?”
- Risk Mapping – a visual tool to identify and measure impact of risk
- Risk Assessment – a management tool to guide strategic decisions
- Management’s Appetite for Risk – “Risk Tolerance”
- Contractual services
- Compliance and Regulatory
- Safety
- Social Responsibility
- Internal Policies
Our Financial Risk Management professionals aim to provide consistent, cost-effective and high-quality service through access to the reliable resources