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Nathalie Druckmann, Vice President at Certa, joins Michael Volkov to discuss third-party riskmanagement and the use of advanced artificial intelligence to implement effective risk mitigation strategies.
The Role of Enterprise RiskManagement Platforms in Mitigating Risks Banking and financial organizations experience various risks that can influence regulatory compliance, growth strategies, and operational efficiencies. In such cases, enterprise riskmanagement (ERM) platforms […]
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With mounting geopolitical tensions, multinationals face a very real and immediate risk of being deprived of profits, control or even ownership of some wholly or partially owned local businesses.
Credit riskmanagement. On April 30, 2024, Bank of International Settlements issued updated guidance on counterparty credit riskmanagement. The fresh guidance reaffirms the need for ongoing due diligence and the development of a comprehensive risk mitigation strategy to control counterparty credit risk.
The post PE-backed VelocityEHS buys riskmanagement software firm Contractor Compliance appeared first on PE Hub. In 2022, Partners Group acquired a minority stake in the company, joining existing owner CVC Growth, an affiliate of CVC Capital Partners.
Australia-based digital FX, riskmanagement and payments company Instantia has selected ION Foreign Exchange (FX) for the trade execution, trade management, risk and settlement management of its FX business. Instantia offers a client-centric way to manage currency exchange, FX strategies, and cross-border payments.
Riskonnect is a provider of integrated riskmanagement solutions. The post TA Associates-backed Riskonnect snaps up riskmanagement firm Ventiv appeared first on PE Hub.
The bank will now adopt three additional modules of the solution, making MARS its primary riskmanagement system. The MARS market risk module integrates to offer a solution which supports riskmanagement and data workflow, providing scalability alongside allowing increased growth of CBI’s treasury business.
Sanjay Moolchandani, a global banking leader with over 20 years of experience in financial technology and riskmanagement, has been at the forefront of integrating advanced technology into financial riskmanagement frameworks.
Michael Peters At a recent roundtable, Deutsche Börse Group derivatives exchange, Eurex, shared its plan to harmonise onto one riskmanagement infrastructure over the next two years. Almost a decade ago, back in 2014, Eurex clearing was a leading innovator when it came to real-time riskmanagement.
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On May 17, Fed Governor Michelle Bowman delivered a speech to the Pennsylvania Bankers Association focusing on bank regulatory reform, opportunities for engagement, bank mergers and acquisitions, third party riskmanagement, regulations under the EGRPRA, and prioritization within bank regulation and supervision.
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Chintamani Bagwe, an accomplished Fintech Expert in Banking Compliance and RiskManagement, currently serves as a Senior-level technology leader at Citibank.
These valuations are crucial for fund and investment managers, as transparency and consistency is important for individual investors, large institutions and other stakeholders. But why are they so important, and what do they really mean for your investment decisions and riskmanagement strategies?
Washington, DC, (January 9, 2025) FOCUS Investment Banking is pleased to announce that John-Michael Tamburro has joined the firm as a Managing Director in its Technology Services group. He began his journey at Scotiabank in Canada, where he spent five years mastering the intricacies of derivatives and riskmanagement.
The cybersecurity expertise of The Mako Group deepens Centric Consulting’s capabilities and enhances its ability to deliver comprehensive solutions. The cybersecurity expertise of The Mako Group deepens Centric Consulting’s capabilities and enhances its ability to deliver comprehensive solutions.
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billion bet on the little known financial software company Adenza will help the exchange operator vastly expand the market for its products, from riskmanagement and regulatory software to anti-financial crime technology. Nasdaq expects expanded markets to justify $10.5 Nasdaq […]
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A recent RiskManagement Magazine article discusses AI-related risks in business acquisitions. The article addresses the need for buyers to understand the functionality of AI tools used in the target’s business, as well as approaches to identifying and assessing their risks.
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Why a Risk Register Matters Adherence to Best Practices : Ignoring risk and governance is not just an oversight; it’s a lapse in sound business practice. Informative Historical Context : A company’s past governance and riskmanagement behaviours often serve as predictive indicators of future conduct and success.
as of the end of 2020, hedge funds managed approximately $3.6 Further, liquidity is important to help funds of all types managerisk and improve market stability. Hedge funds are also often activist investors, which means that they take an active role in managing the companies in which they invest.
Less than half (37%) of risk professionals say they are prepared to managerisk tied to the next market shock, a new report from Coalition Greenwich has found. Confidence in riskmanagement practices plays an important role in the survey’s findings, according to Coalition Greenwich.
Initially focused on riskmanagement and capital controls, regulations now encompass a broader range of concerns, including data privacy, technological innovation, and operational resilience. As banks navigate this increasingly complex […]
Oakbridge is an independent insurance and riskmanagement company. The post Audax Private Equity to invest in Oakbridge Insurance Agency appeared first on PE Hub.
Based in Toronto, Security Compass is a provider of enterprise DevSecOps software solutions to ensure secure application development and riskmanagement. The post FTV Capital-backed Security Compass buys Kontra from ThriveDX appeared first on PE Hub.
Our recently published Asia wealth management report focuses on two major areas for firms: The importance of mobile as a channel that, our research shows, wealth management firms can greatly improve; and the evergreen—and so far unanswered—question of relationship manager (RM) productivity. Why is that important?
His experience spans more than a decade and encompasses work on trade execution, flow trading, market making, riskmanagement and data. Read more: Mirabaud Group equity trader joins Panmure Liberum McDonald has also previously worked in trading-related roles at: FlowBank, IG, and Alexander David Securities.
To successfully navigate this intricate landscape, teams must embrace the concept of living playbooks — dynamic, adaptable frameworks saved within your online work management platform — that can be applied to and evolve with different future deals. The Evolution of M&A Playbooks A playbook is essentially a roadmap for the M&A process.
The first three recommendations focus on enhancing liquidity riskmanagement practices and governance. The subsequent recommendations, six to eight, concentrate on collateral management practices.
Exostar is a secure collaboration and riskmanagement service provider. The post Arlington Capital to buy Exostar from Thoma Bravo appeared first on PE Hub.
FRANKFURT (Reuters) – Euro zone lenders may not have a full understanding of their exposure to the quickly growing private credit and equity markets, so bank supervisors plan to outline new riskmanagement expectations, the European Central Bank said on Wednesday.
State Street Global Advisors (SSGA) has launched the first actively managed corporate and municipal target maturity bond ETFs in the US market. The suite consists of 14 actively managed target maturity ETFs with various maturity years ranging from 2026 to 2034. The suite is made up of both corporate bond and municipal bond ETFs.
BSE confirmed that it has certified the Fidessa trading platforms integrated suite of algorithms as compliant with exchange rules, regulatory standards, and riskmanagement requirements. India remains a key strategic market for ION and this empanelment enhances our ability to meet the regions evolving needs.
Mitchell McConnell is a Saint John, New Brunswick-based brokerage offering riskmanagement services, property and casualty insurance and life and accident coverage. The post Madison Dearborn-backed Navacord buys Mitchell McConnell Insurance appeared first on PE Hub.
Eric Huttman, chief executive, MillTechFX Despite the relative calming of FX volatility compared to 2022, the management of currency risk was still a top priority for fund managers throughout 2023. Our That goes for all markets, including FX swaps where it will be more important to manage short term interest rate risk.
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