Services
A team of specialists providing a focused range of services to financial institutions.
Advisory
We develop risk management capability by providing expert advice, guidance and implementation support across the full spectrum of financial and non-financial risk.
Financial risk management
Proven expertise in market, credit and operational risk. Measurement and methodology, VaR and expected shortfall, counterparty exposure, stress testing, and the reporting that carries the result to a committee or a supervisor.
Model risk management
As more models are embedded in business processes, institutions carry more model risk. We build and validate the framework: definition, inventory and tiering, independent validation, and the governance the PRA's five principles in SS1/23 expect, in force since 17 May 2024.
Technology consulting
Capital markets technology expertise, front to back and across the stack. Platform implementation, migration and maintenance, risk and finance data, and the calculation and reporting engineering that sits under a regulatory date. Delivered onsite from your premises or from our delivery centre.
Regulatory and compliance change
Impact analysis through to implementation. Basel 3.1, live on 1 January 2027 under PS1/26, with the FRTB internal model approach following on 1 January 2028. The output floor, the trading book boundary, Pillar 3 and the reporting build.
Project and programme management
Extensive experience running financial services programmes end to end, including engagements that are already behind a regulatory date and need the scope cut rather than the plan re-presented.
How we engage
Fixed scope and fixed fee wherever the work allows it. Named practitioners agreed in the statement of work, and they are the people who do the work. Vendor independent, with no commission from any platform or systems integrator.