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In a world of frequently changing complex regulations, a robust Governance, Risk & Compliance function is crucial to the success and survival of any Financial Services or Banking organisation.

Our GRC team is led by industry experts with first-hand experience of working in the sector, who maintain in-depth subject-matter expertise on regulatory requirements, industry benchmarks and emerging trends across risk management, internal audit and regulatory compliance.

Our areas of expertise include:

  • Audit & Governance
  • Compliance Management
  • Regulatory Transformation Projects (eg. MiFID II, Sox, SMR, MMR, MCD, IFRS 9)
  • Operational Risk
  • Credit Risk & Analytics
  • Liquidity Risk
  • Capital Risk
  • Prudential Risk
  • Conduct Risk
  • Financial Crime & Anti Money Laundering
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