Risk and Capital Management | KPMG Hungary

Risk and Capital Management

Risk and Capital Management

Risk is fundamental to the financial services industry.

Risk is fundamental to the financial services industry.

Whether it is an investment banker underwriting a share issue, a commercial banker making a loan, an insurer writing a policy or a fund manager running a portfolio they are all evaluating, pricing and managing risk.

Modern financial institutions need sophisticated tools and techniques to manage and mitigate these risks while at the same time maximizing the return on capital deployed in support of this activity.Basel II and Solvency II are significant in that they are changing the rules of the game and is increasing the need for an integrated, enterprise-wide approach to risk management. 

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