RiskMonitor: An enterprise-wide risk management application

RiskMonitor empowers financial institutions (buy and sell side) to perform the standard and some advanced methodologies of market, credit and liquidity risk calculations. It covers all asset classes, instruments and commodity contracts. The architecture of Risk Versions™ allows multiple users to perform their work, while providing complete data consistency and transparency.AxiomSL’s integrated approach consolidates data from various core financial and risk applications without any data conversion, driving for greater efficiency and leveraging on existing systems and processes. This single platform manages the risks associated with dynamic change, provides flexibility across complex operations, and delivers consistency in risk management and financial reporting through a harmonized reporting and analysis process.Key Benefits for Clients:• Provides a fully integrated solution from data sourcing to final reports• Enriches existing data and process to enhance efficiency and enables complete transparency and visibility to any level of granularity• Interfaces with clients’ data from multiple and disparate systems removing vendor dependency, redundant activities and reducing operational procedure, thus saving time and money• AxiomSL provides subject matter experts with extensive track records in responding to complex business environments to successfully implement and test the solution and interpret results
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Tags:
Risk Management, Market Risk, Credit Risk, Operational Risk, Basel, Regulatory Reporting, Financial reporting, Regulatory reports, Central Data Repository, ETL, Finarch, Capital Adequacy, Sarbox, Data integration, IRB approach, XBRL