Benefit from a single data model and common cash flow engine to perform complex analysis of the inherent risk in your balance sheet. Improve consistency and gain control of your balance sheet with a solutions suite designed to meet all your budgeting, planning, and forecasting needs.
Explore the impact of marketwide stress events on liquidity risk.
Gain an accurate view of profitability, earnings stability, and overall balance sheet risk exposure with Oracle Financial Services Asset Liability Management. Use high-end analytics, dynamic interactive dashboards, intuitive reporting, alerts, scenario-based what-if analysis, and waterfall list creation in an integrated framework.
Forecast future performance—incorporating economic conditions and forward-looking risks—with Oracle Financial Services Balance Sheet Planning’s robust planning capabilities. Eliminate multiple disparate systems to produce a complete, reconciled plan that delivers better value and actionable insights.
Determine the spread earned on assets and liabilities and the result of interest rate exposure for each customer relationship with Oracle Financial Services Funds Transfer Pricing. Accurately assess profitability along product, channel, and business lines, and centralize interest rate risk so it can be effectively managed.
Gain a clear understanding of liquidity gaps under contractual, business-as-usual, and stressed conditions with Oracle’s liquidity risk management solution, and enable contingency funding planning via a comprehensive counterbalancing capability.
Measure and model loan, deposit, and off–balance sheet instruments with Oracle Financial Services Cash Flow Engine. Gain insight into the granularity of cash inflows and outflows for non regulatory and regulatory purposes. Oracle’s solution is suitable for organizations with exposure to financial securities and instruments.
A single, transparent data model and platform across risk and performance applications breaks down silos using common customer-and ledger-level information.
Process large data volumes, comprehensive calculations, and multicurrency simulations. Create custom models with unlimited forecast assumptions and multiple FTP methods.
Cover all aspects of the planning process, including profit planning, budgeting and forecasting, strategy formulation, and capital expenditure budgeting.
Experience faster time to value, strengthen your balance sheet, serve your customers more efficiently, and gain a competitive edge with a performance management solution created specifically for the financial services industry.
Adapt to rapidly changing business and regulatory requirements.
Maximize profit and control costs with greater confidence.
Modernize data management and improve decision-making with a unified data model.
Get consistent, verifiable results in risk measurement, management, and mitigation.
Discover live and on-demand webcasts that explore financial services topics in depth.
Keep up with the latest trends across the financial services landscape.
Talk to a team member about Oracle’s balance sheet management solutions.