Treasury Risk Management

Mitigate financial risks, avoid negative surprises
Our solution addresses every risk management need of a modern treasury department, organized across any number of trading desks/units – each dedicated to a specific market, including inter-bank OTC markets, trading venues or other counterparties. Our solution offers a wide range of tools and methodologies which allow risk managers monitor, manage and report their exposure to market, counterparty and credit risks.
The system offers a broad range of risk methodologies allowing measure, monitor, and manage market risk. All risk measures can be calculated, stored...
Post-crisis scepticism on the assumptions behind sophisticated risk models, has brought a renewed interest on the subject of stress testing from...
RiskValue counterparty credit risk module provides advanced functionalities and analytics for risk measurement and management in banking corporations...
Our Liquidity Risk solution contains a number of tools allowing to thoroughly understand, manage and report relevant risks faced by a modern...
Treasury traders and risk managers who are active in many different OTC transactions and complex structured products need a reliable solution for the...