Financial institutions are being challenged as a result of recent crises in the financial markets, a changing demand for their products and an increased complexity of financial regulations. Management has to deal with new and extended regulatory requirements and manage stakeholder expectations, while maintaining a healthy balance of risk versus return.
Our risk advisory combines expertise on financial regulations and modelling with a clear vision on risk strategy. This enables your institution to develop and implement resilient risk management practices, achieve regulatory compliance and meet stakeholder expectations.
We have more than 20 years’ worth of experience with risk management at European financial institutions. Our consultants have in-depth financial knowledge and strong analytical skills. We help clients improve their risk management capabilities with advice from strategy to implementation.