KPMG's Financial Risk Management professionals work with financial institutions and other corporate clients to help achieve these objectives. They can help in a variety of risk management and risk management related issues, from comprehensive and integrated risk management frameworks to a view on single risks such as credit risk, market risk, operations risk, reputational risk or liquidity risk. Our clients can also benefit from our knowledge and experience in financial instruments valuation and accounting issues as well as capital adequacy and treasury management.
In our work with clients from different industries (Banks, Investment Funds, Insurances, Commercial and Industrial, Institutions and Government) and of different sizes and complexity we can highlight concerns and help improve processes, governance and strategy across a broad range of matters, including:
In providing consistent, cost-effective and high-quality services, we involve in our projects highly skilled multi-disciplinary teams who use globally approved methodologies and tools and who keep pace with fast developing technical developments.
Based on our approach and capabilities, we are committed to ensure that we are always available to help you identify opportunities, solve problems - especially for more advanced technical topics - and provide high-quality services tailor-made to your specific needs to help add value to your firm.