Liikkeenjohdon konsultointipalvelut | Advisory Services

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Financial services risk management – a prerequisite for success

In today’s dynamic business environment, flexible and effective risk management processes are a prerequisite for an efficient business. As a leading provider of integrated risk management services to the banking and capital markets, asset management and insurance sectors, we can help you tackle the numerous challenges of risk management.

Our Nordic risk management professionals can provide expert advice on risk management strategies; capital and liquidity management programs; credit, market and operating risk management and, last but not least, compliance and regulatory issues.

Risk management
We help our clients manage and mitigate business risks by improving risk monitoring efficiency, strengthening risk communication and creating integrated risk management processes. We work with you to:

  • Set up efficient management of issues related to organization, governance and liability; development and implementation of risk strategy.
  • Set up a framework for efficient handling of risk based on management’s responsibility. We work on the basis of three lines of defense and focus on issues related to liability, mandate, risk taxonomy and handling, follow-up and reporting processes.
  • Help ensure access to risk data for internal as well as external analysis and reporting.
  • Optimize specific risk processes, including credit, counterparty, concentration, market, liquidity and operating risk as well as asset liability management.
  • Risk-based pricing

Capital and liquidity
Capital and liquidity management is an area that is increasingly affecting corporate competiveness and profitability. Our Nordic team has extensive experience and deep insights into the changes facing your business as a result of regulatory change. Our services comprise: 

  • Capital base and capital deployment optimization
  • Capital planning
  • Liquidity management
  • Data handling and reporting of liquidity risk
  • Basel III/CRD IV
  • Regulatory reporting
  • Solvency II
  • Living wills

A myriad of new global, European and local regulations will have significant implications for the financial services sector. Business models and activities will have to be aligned. EY offers relevant insights, support and experience from across the financial services sector, and we monitor the following areas closely: 

  • Solvency II
  • Basel III/CRD IV
  • Living wills
  • MiFID II
  • Dodd-Frank

Processes and controls
EY is a global leading supplier of internal audit and control services for the financial services sector. We have wide experience in risk identification, analysis and assessment and in planning, performing and reporting internal audits. Our global team offers assistance in the following areas: 

  • Internal audit
  • Outsourcing
  • Co-sourcing
  • Performance improvement and transformation
  • Quality assessment reviews

We offer the following services related to internal controls: 

  • Sarbanes-Oxley advisory services
  • Governance reviews
  • Process/control remediation and future state design

We also offer contract risk and corporate responsibility services.

Quantitative advisory services
EY’s global team offers a broad range of quantitative insights and expertise. We can help you design, develop and validate quantitative calculation methods and financial models for assessment of financial instruments and measurement of financial risk. Our quantitative advisory services include:

  • Credit risk
  • Market risk
  • Liquidity risk
  • Operating risk
  • Insurance risk
  • Other financial risks
  • Model risk

Ota yhteyttä

Mette Vilos
Performance Improvement
+358 400 293 629

Antti Hakkarainen
Financial services and risk management
+358 40 592 4433

Antti Herrala
IT Risk and Assurance
+358 40 768 8397

Tel. +358 (0)207 280 190 (vaihde)
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