Lombard Risk (LSE: LRM) is the leading dedicated global provider of regulatory reporting and collateral management solutions that enable clients in the financial services industry to significantly improve their approach to managing risk. With Lombard Risk, clients achieve the agility they need to gain advantage through intelligent automation of regulatory reporting and optimization of cross-product collateral management, reducing the cost and complexity of managing risk while maximizing accuracy, speed and value.
Lombard Risk’s global team of experts in jurisdictional regulatory obligations and practitioner-based experts in cross-product collateral management look beyond reporting and collateral management as defined today, to ensure the technologies Lombard Risk develops keep clients ahead of the market, now and in the future.
Lombard Risk is the leading dedicated global provider of regulatory reporting and collateral management solutions to the financial services industry.
Counting 30 of the world’s ‘Top 50’ financial institutions among its clients, Lombard Risk has been a trusted partner for 28 years. Founded in 1989 and headquartered in London, it has offices in Europe (Birmingham, Frankfurt), New York and Asia Pacific (Hong Kong, Shanghai, Singapore and Tokyo), and representative offices in Atlanta, Cape Town, Sydney and Miami. Find out more at lombardrisk.com