The demise of financial institutions during the financial crisis of 2008 was compounded by the enormous growth in the issue of structured finance instruments and the failure to regulate, correctly rate and understand the true scale of risk associated with these instruments.
Financial institutions and the regulators (through extensive regulatory reform) continue to address the issues associated with these events and the need for robust transparent risk management practices are apparent. Risk exposures and the influencing factors across multiple risk disciplines and different business lines need to be captured and appropriately modeled in order to accurately measure, report and monitor the firms’s different risk exposures.
Enterprise Risk Solutions specialises in the field of Operational Risk and is committed to helping our clients achieve their objectives through the delivery of robust risk management solutions in order that senior management can make appropriately informed decisions to balance the trade-off between risk and reward.