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Proactively Manage Enterprise Risk and Finance

Improve how you measure, manage, mitigate, and report risk across the organization. Our solution spans across credit, market, liquidity, interest rate, and business risk to provide you with a single, consistent view of risk and performance.

Proactively manage enterprise risk and finance

Clearly Define Risk Appetite, Improve Capital Planning

risk assessment

A Single Source of Truth for Risk Assessment

Improve risk governance and centralize and aggregate risk data and reporting across the enterprise. Complete, accurate, qualified, and reconciled risk data in a timely fashion.

modern analytics

Deep Insights to Top Risks and Trends with Modern Analytics

Identify, assess, monitor, and mitigate risks in a systemic manner across the enterprise. Access prebuilt dashboard reports with extensive drill-through capability.

risk reporting

Improve Risk Reporting, Stay Ahead of Compliance

Remain confident with auditors and regulatory authorities and automate reporting from data capture and consolidation to computation and submission.

Gain an Enterprise-Wide View of Credit Risk Aacross Banking Book and Trading Book

Oracle Financial Services Credit Risk Management provides a comprehensive view of credit risk across the organization, including retail credit risk, wholesale credit risk, counterparty credit risk on trading book, stress testing, and delinquency management. It provides users with comprehensive credit profile of the asset book and enables easy identification of hot-spots.

  • Extensive functionality with internal and regulatory credit risk coverage
  • Single source of accurate information to improve risk governance
  • Enables strategic and operational decision-making
  • Extensive drill-down capabilities for granular analysis of risk information
  • On-demand access to data
  • Comply with stringent regulatory norms and effective decision-making
  • Achieve a single customer view of credit risk across exposures
  • Enables aggregation of credit risk data across multiple sources

Comprehensively Address Market Risk Requirements

Oracle Financial Services Market Risk Measurement and Management enables banks to measure and manage market risk using advanced models, ensuring effective evaluation of risk across the trading book. It includes historical and Monte Carlo simulation models and comprehensive xVA modeling.

  • Fully comply with the internal models approach for The Fundamental Review of the Trading Book (FRTB)
  • Accurate pricing and risk models using market-leading Numerix engines
  • Assess risk at any level of granularity and estimate the risk for multiple, user-defined portfolios

Comprehensively Address Liquidity Risk Requirements

Oracle Financial Services Liquidity Risk Management provides a clear understanding of liquidity gaps under contractual, business-as-usual, and stressed conditions. It also enables contingency funding planning via a comprehensive counterbalancing capability.

  • Preconfigured regulatory scenarios and runs
  • Consistent, enterprise-wide stress testing covering idiosyncratic, market-wide and hybrid scenarios
  • Extensive set of business assumptions for behavior modeling
  • Parameterized user interface with workflows and versioning
  • Comprehensive reporting with extensive drill-through
  • Quick product implementation to meet regulatory guidelines
  • Ready-to-use regulatory scenarios and pre-packaged methods