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Risk Management

Our risk management advisory offerings provide comprehensive & diverse frameworks and solutions to our banking, financial services and non-BFSI clients to effectively identify, evaluate, measure, and monitor key risks to help mitigate potential losses.

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Risk Identification, Measurement & Assessment

We focus on design, development, and implementation of robust frameworks for risk identification and assessment including risk appetite, ICAAP, stress testing, RWA optimization and scenario modelling for the Banks in-line with the global best practices.

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Risk Analytics

We assist in development, calibration and validation of risk models for acquisition, accounts management and collections, IFRS 9 regulatory models including PD, LGD & EAD models, behavioral models for Fund Transfer Pricing, etc.

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Risk Reporting and Monitoring

Our risk monitoring and reporting offerings assist our banking and financial institutions clients with properly documented and consistent reporting solutions which provide essential insights and analysis to objectively measure and monitor key risks. We support in diagnostic review of existing reports, impact & gap assessment, development.

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