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Risk management for financial institutions

Our ERS group includes a team that specializes in risk management services for the financial industry including for banks, insurance companies, provident funds, pension funds and the capital market.

Our capital markets professionals work with you to provide innovative treasury and risk management strategies and techniques for users, traders, and dealers participating in the global capital markets.

We help you to define your critical risk/reward expectations, identify sources of risk, and then quantify, mitigate, and monitor them on an ongoing basis. We also help to draw the necessary information from the capital markets, customers, regulators and other sources, analyze the information across risk classes, and report the information to managers in an efficient but secure format to facilitate tactical and strategic decision making.

Services offered:

  • Risk assessments and risk management
  • Internal audit
  • Characterization of control systems
  • Examination of controls’ validation
  • Evaluation of quantitative models and control models
  • Regulation compliance (Basel II, Solvency II, AML, assistance to compliance officer etc)
  • Assistance in establishing and writing outline of procedures

For more information please contact:
Dan Halpern
Head of Enterprise Risk services
Tel: +972 (3) 608 5230