Turn today's increasingly challenging regulatory environment into opportunity
The enormous number and complexity of regulations has amplified both the cost and effort required by financial services firms to achieve supervisory approval. Failure to comply properly can result in heavy fines that impact both your bottom line and your reputation in the marketplace.
Comprehensive solutions to help you meet regulatory requirements
Capgemini’s comprehensive risk, regulation, and compliance solutions help firms analyze, implement, and refine risk management processes and applications across all areas of a financial institution. Our services enable firms to more efficiently identify, assess, control, monitor and report risks. We offer a set of integrated business and technology services that span regulatory requirements interpretation, capital planning, risk analytics, risk system selection and technology implementation.
Our risk management services focus on the following areas:
- Enterprise risk management
- Market risk management
- Credit risk management
- Operational risk management
- Liquidity Risk Management
- Regulatory compliance
- Predictive modeling
- Model validation
- Stress testing
- Regulatory reporting
- Risk appetite
- Fraud analytics
- Vendor alliances
- Risk technology implementation
- Industry and competitor benchmarking for risk issues
Leading insights into fast-changing regulations
Our consultants have experience with the fast-changing regulatory environment across the globe. Our point of views help summarise complex topics and recommend a path forward for financial services organisations. Recent topics include:
Experience where it counts
Our approach to risk management provides a succinct qualitative and quantifiable understanding of risk. We assess risk management frameworks for our clients, identify gaps, and ensure that your program plans and regulatory needs are aligned. Then we help you analyse, implement, and refine your risk management processes and applications across all business lines. We adopt an enterprise-wide risk approach, which captures your entire exposure and insulates your firm from the impact of future economic downturns. The result of working with Capgemini is more accurate and reliable risk metrics, enhanced risk assessments, and effective scenario forecasting –all of which can improve net profits!
- Multi-year end to end Basel II/III assessment for a large Canadian bank with U.S. operations
- Over four years of experience assisting numerous banks in compliance with the CCAR regulations
- Model risk management including model development, validation, reporting and use for mid-tier banks
- Fraud transactions analytics for numerous European banks
- Collaboration with external technology vendors in risk platform implementation
Get started today!
Our business-driven and domain-centric approach, supported by a deep understanding of leading-edge technologies, provides truly differentiating performance for information excellence.
To learn more on our offerings, contact us at firstname.lastname@example.org.