Risk Management

Focuses on identifying, measuring, and mitigating financial risks including interest rate, foreign exchange, commodity, and counterparty credit risks. This unit develops hedging strategies and monitors risk exposures to protect the organization from adverse market movements.

This department is part of the Corporate Treasury business area .

Products fall into the following categories:

Financial Risk Management Systems 28 products
Platforms that identify, measure, and analyze market risks, providing tools for stress testing, scenario analysis, and VaR (Value at Risk) calculations to support hedging decisions. more...
Derivative Management Solutions 15 products
Specialized applications for managing the lifecycle of derivative instruments, from trade capture and valuation to hedge accounting and settlement processing. more...
Counterparty Risk Assessment Tools 10 products
Systems that evaluate and monitor credit risk of financial counterparties, setting and tracking exposure limits and providing early warning indicators. more...

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