MARKET RISK MANAGEMENT ADVISORY
VaR Institute can assist your bank or company in setting up effective management and oversight of the overall market risk exposure.
Banks and capital markets firms face extraordinary challenges related to profitability, complexity and new regulations in an uncertain economic environment, an environment we refer to as one of “permanent volatility.”
The Finance & Risk practice can help financial services firms focus upon the three key challenges of increasing profitability, reducing complexity and managing regulations.