To address new regulatory requirements that demand greater scrutiny of risk, firms need more versatile and high-performance analytics tools.
Financial Risk Analytics delivers a suite of integrated, scalable and efficient solutions for enterprise-wide risk management across a broad range of asset classes.
A fully interactive interface allows for dynamic, on-the-fly risk reports as well as the ability to slice and dice results. Financial Risk Analytics supports the highly variable computational demands of financial institutions by leveraging its software over a server grid.
The flexibility and open structure of the underlying architecture mean that clients can customize or integrate new models very simply.