The fallout from the financial crisis in recent years has forced banks, other financial institutions and large corporates to rewrite the rules of asset & liability risk management.
In the search for maximisation of net interest income and profits it is essential that investors, regulators and executives have confidence that exposure risk is fully understood and managed at every level. This creates the need for reliable, accurate data, insightful analysis and presentation.
Constantly increasing pressure on earnings, economic value, liquidity, worldwide currency market volatility and the proliferation of complex new financial instruments have all coincided with intensified scrutiny, making the task of strategically managing financial and business risk considerably more challenging.
Add in the fact that the extended period of ultra-low, stable interest rates appears to be nearing its end, and the challenge is bound to be further compounded in the near future.
almeter from corfinancial helps senior decision makers meet that challenge.