Financial risk management for financial institutions (FRM) team is composed of specialists with extensive sector experience.
Our team is composed of professionals with extensive sector experience.
Observed since the financial crisis form 2008 regulatory pressure sets before our clients a challenge of continuous process of compliance verification with new law requirements created at EU and national level as well as recommendations of best practices prepared by the local government industries. In addition, these challenges often generate the need of balance sheet structures adjustment. This may mean among others the need of portfolio sale which may result in, for example, the part of capital release.
Our objective is to provide comprehensive services which will ensure achievement of goals set by our clients.
Scope of our services include: