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Financial Services Risk Management - Ernst & Young - Poland

Financial Risk Management

  • What financial risks are you exposed to?
  • How do you measure your risk exposure?
  • How do you hedge against those risks?
  • Have you undertaken any preparatory activities for the implementation of new regulatory requirements, including IFRS and Basel II?
  • Do you verify financial instruments and risk measurement models?
  • What is the functionality of your IT systems in respect of risk management?
  • How do you use financial derivative instruments?
  • Do you apply verified procedures when accounting for derivative financial instruments?
  • Do you have any questions relating to tax treatment of financial transactions and financial derivative instruments?

Ernst & Young’s Financial Risk Management is a team of dedicated individuals specializing in financial risk management, quantitative methods of risk measurement, accounting, as well as tax aspects. We take pride in our knowledge and years of experience in advising our corporate clients and financial institutions. See more about our services.

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