Build risk management across your organization
Solutions that put capital markets firms in control of risk and compliance
Capital markets organizations are drowning in regulation. SA-CCR, FRTB, MiFID II, SFTR and the EMIR Review demand an enterprise-wide view of risk. Yet legacy and siloed systems are largely unable to create the perspective needed.
An enterprise-wide view makes the difference
Firms that can aggregate and connect essential risk data enjoy benefits that extend far beyond compliance:
- Insights that improve competitiveness
- Optimized balance sheets that reflect the latest capital, liquidity and funding requirements
- Resilience to market volatility and further regulatory change
Fusion Risk helps capital markets organizations to:
- Improve regulatory compliance and reporting (including coverage for: FRTB, SFTR, IFRS, IRRBB, MiFID II and EMIR)]
- Manipulate complex data to achieve strong analytics quickly
- Deliver real-time incremental risk measures
Discover how Fusion Risk help capital markets firms innovate to deliver better risk management.