FINANCIAL RISK MANAGEMENT
Comprehensive risk management approach
Financial risk management is complex and sometimes far removed from your core business, yet done well it can be a real asset.
The experience we have acquired in many different contexts enables us to provide you with a high-quality service.
With our rigorous methodology and deep technical skills, we can provide you with advice tailored to your circumstances at each step in the financial risk management cycle.
From analysis to valuation, find out about our comprehensive approach.
In order to ensure the best possible execution terms, we support you in implementing the transactions with your counterparties and in particular with regard to:
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Managing the timing of trading in line with changing market conditions
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Regularly updating the prices of the strategies
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Independently checking the prices of instruments
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Coordinating the different banking counterparties
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Syndicating transactions where necessary
This process ensures a smooth implementation and systematically achieves significant savings.
EXAMPLES OF ASSIGNEMENTS
➤ Analysis of opportunities to incorporate the offshore Renminbi in treasury management
➤ Analysis of opportunities to reduce the cost of debt
➤ Assistance in negotiating FBF or ISDA master agreements
➤ Putting in place a counterparty risk management strategy
➤ Support in improving and transforming existing risk management systems
➤ EMIR compliance
➤ Coordination of a pool of hedging banks and syndication of swaps
➤ Restructuring of complex products