Solvency II Explained

A Solvency II solution that fits your role.

Finance

The inability to obtain a clear picture of risk across a company's entire operation was a contributing factor to the financial crisis. No stronger indication can be given that the silo approach to risk management and reporting is damaging—as one department's success can be another's downfall.

Our financial risk management module enables organisations to gain valuable insight to the risks in their operating model, how this may influence profitability, and, finally, to publish this data in order to meet both regulatory and internal reporting obligations.

Unified risk and regulatory platform: single or multi-country, risk or regulatory, branch or head office-we provide proven risk and regulatory compliance solutions to meet the global financial market’s current and future demands.

  • Capital calculation

  • Treasury management tools

  • Financial risk modelling

  • Regulatory reporting

Tape Measure