Financial Institutions in Czech Republic Face Evolving Risk Management Landscape
The financial sector is constantly evolving, presenting a complex and challenging risk management environment for institutions in the Czech Republic. With regulatory changes and new business models emerging, it’s crucial for financial institutions to have a robust approach to risk management.
EY’s Integrated Risk Management and Regulatory Services
To help navigate this challenging landscape, EY offers integrated risk management and regulatory services tailored to the needs of financial institutions in the Czech Republic. Our team brings together professionals with expertise in qualitative, quantitative, regulatory, and technology skills to provide innovative solutions that accelerate performance.
Our Consulting Resources
We offer a range of consulting resources critical to effective risk management:
Enterprise Risk
- Create, enhance, implement, and review integrated frameworks for identifying, measuring, mitigating, and monitoring risks
- Assist in creating, enhancing, implementing, and reviewing operational risk frameworks to ensure effective risk coverage
Liquidity Risk
- Provide strategic recommendations to help organizations identify, measure, and manage liquidity risk while complying with regulatory expectations
Credit Risk
- Offer leading services focused on assisting in credit risk identification, measurement, management, and reporting
Operational Risk
- Assist with creating, enhancing, implementing, and reviewing operational risk frameworks to ensure effective risk coverage
Compliance Risk
- Design effective, flexible, and robust compliance programs that address unique business, regulatory, risk tolerance, technology, and operational model requirements
- Assist in designing, implementing, and operating AML, KYC, and OFAC functions to drive efficiency without sacrificing quality or sound risk management
Capital Management and Market Risk Services
Our Capital Management team offers services to help institutions anticipate and adapt to regulatory changes, assess their impacts on business models and capital needs, and develop effective capital management strategies. Our Market Risk team focuses on financial risk identification, measurement, mitigation, monitoring, and reporting of exposures to interest rate, commodity, equity, and foreign exchange movements.
Partner with EY for a Competitive Edge
By partnering with EY, financial institutions in the Czech Republic can gain a competitive edge in an evolving market while ensuring they meet regulatory requirements and maintain sound risk management practices. Our team is committed to providing innovative solutions that accelerate performance and help our clients navigate the complexities of the financial sector.