Financial Risk Management

Our experience with multi-national corporations and global banks allow us to offer you the process design and implementation, drafting of policy and procedures, and training you need to mitigate risk related to movements in currency and interest rates. Our services offer improved visibility and control over your exposures, allowing you to better manage the associated costs. We also help to reduce the administrative costs related to management processes.

Our service begins with an Enterprise Risk GAP analysis that provides a holistic view of your organization’s global finances and the strategies needed to optimize them.

We put in place strategies and tactics for foreign exchange and interest rate management that are both tax and accounting friendly.

We help you design validation models that will aid the establishment of policies that integrate your foreign exchange processes with your cash management and cash forecasting structures.