Deloitte provides worldwide support for clients operating on the (inter)national energy and commodities markets. These markets have highly specific signature features. Our versatile and specialised teams know these features and advise and support companies in successfully managing the various portfolios and the accompanying risks. We devise innovative approaches, solutions and structures, and we hand you new alternatives.
Commodity Risk Management is central and integral to all control processes involving adequate control of the various portfolios. Our specialists know the market and the market specific risks. This guarantees your company thorough advice on the correct strategy, allowing you to control the different types of risk, such as price, market, credit and financial risks. We advise and support our clients with arranging Commodity Risk Management as efficiently as possible. And we go beyond merely arranging it; we actually help design and implement the models, too.
Our professionals are well-versed in the clients’ industry. They know what engages their clients, allowing them to quickly get to the core. By analysing complex issues from different perspectives we provide bespoke services and depth.
The ECRM specialists distinguish themselves in the following areas:
The multidisciplinary cooperation with FAS specialists from all Deloitte branches guarantees an approach that covers all business levels. We have an extensive knowledge of the market and assess, design, examine, select and implement methods and risk models. Our clients include banks, pension funds, government, private bankers, asset managers, insurers and energy companies.