Functionally rich yet configurable solutions to meet individual businesses' requirements, now and as they change

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"Financial Services" covers many business areas: banking, hedge funds, asset managers, fund administrators, custodians and more - each with their own set of problems to address.

Add to that the country- or region-specific requirements and it doesn't come so easy to find a solution that meets all your requirements. Systems need to fit into a firm's IT infrastructure and have the functionality to meet business requirements and be flexible enough to cope with individual firm's operational processes and be able to change to meet new demands as they arrive.

The Lombard Risk integrated solution suite offers regulatory reporting, scenario analysis and stress testing, collateral management and management information to address a wide range of regulatory compliance and risk management issues. It is developed in a web environment that neatly fits into current technology infrastructures used by banks, is functionality rich yet sufficiently configurable to suit different business applications now and as they develop.

BankingHedge FundsAsset ManagersFund Administrators & CustodiansCorporates

To meet your business challenges, Lombard Risk delivers a powerful combination of risk management, liquidity management, and regulatory compliance solutions to safeguard the financial industry around the world.

Market pressures

Increased regulatory pressures to monitor, measure and reduce risk. Increase in volume and complexity of reporting to management and local / regional regulators, including stress tests.Drive to collateralise trades - and for CCP (central counterparty clearing) through exchanges to minimise risk.Intensifying global competitive forces and demand for better, more accurate information across the organisation: no more silos.

Lombard Risk Solutions

COLLINE: automated collateral management for complete, end-to-end, cross-product management

REPORTER: regulatory reporting with extensive country coverage - to meet demands from regulators around the world

LISA: scenario analysis, stress testing, liquidity analysis

MIS: full management information reporting - providing business intelligence

OBERON and FIRMAMENT: yield curve construction in multiple currencies and valuation of derivatives and cash products.

learn more on Learn more on Risk Analysis or Risk Metrics.