Processes

There have been rapid developments and transformations in the global banking and financial services industry in the last decade, led by sweeping market events, regulatory initiatives and changing public perception about the industry. As much as emphasis has been on changing market needs, business opportunities and development, risk management in financial institutions has emerged as one amongst the most critical functions in the domain. The emergence and growing importance of risk management in strategic decision making processes is now indisputable.

Emergence of Risk Management as a key function has led to a series of regulatory and compliance changes in all key financial markets. Key developments such as Basel II and III, Liquidity Management, Market Risk, Capital Assessment Plans and emergence of insightful quantitative finance has triggered a need for large scale transformation programs instead of a project based approach.

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UniRAD - Solution Delivery FrameWork

  • Built on the strengths of both Waterfall and Agile methodologies, framework.
  • Bridges execution gaps of existing models.
  • Multi-threaded management.
  • Source Code Management, Requirements Management, Project Management, Testing, Release Management and Reporting capabilities
  • Covers entire Application Lifecycle
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Risk Cube

  • Riskrator – Market Risk Mgt. & Monitoring
  • Asset Liability & Liquidity Management
  • Derivator – Pricing, & Hedge Effectiveness
  • Risk & Finance Data Mart BCBS 239 Compliance
  • Portfolio Risk Dashboard
  • IFRS 9 Compliance & Reporting

This solution enables the bank to deploy comprehensive consolidated risk dashboard which include cube analysis of portfolio across various dimensions and measures like counterparty, products, industries, exposures, RWA, etc., user defined configurable reporting with superior drill down features, limit monitoring, trend analysis etc.

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Credit Model Validator (Enabler to Basel II Advanced approaches for Credit Risk)

Conduct validation of internal rating models / scorecards for wholesale & retail banking. Scalable configurable platform to enable business users to configure / deploy standard inbuilt and user defined statistical tests to conduct

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Conduct validation of internal rating models / scorecards for wholesale & retail banking. Scalable configurable platform to enable business users to configure / deploy standard inbuilt and user defined statistical tests to conduct structural validation, back testing, model and factor accuracy analysis, information value analysis, model modification, predictive power tests including new model development. Enables advanced data management capability and completely integrated data model with Credit Risk Engine for seamless availability of data for validation.

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Capital Forecasting Modeler (ICAAP)

This product enables the bank to conduct a detailed assessment of its internal risk and capital requirements for all risks including residual pillar I and additional pillar II risk measures, based on its projected business strategy and financial plan.

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This product enables the bank to conduct a detailed assessment of its internal risk and capital requirements for all risks including residual pillar I and additional pillar II risk measures, based on its projected business strategy and financial plan. Its flexible and highly configurable platform allows business users to easily develop advanced, complex risk models and scorecards through easy to execute user interface. Product features include dedicated module for conduct of stress testing covering multiple sensitivity and scenario analysis leading to overall balance sheet simulation for impact on portfolio profitability, solvency and regulatory / economic capital

The product enables banks to provide a transparent platform for regulators to review and evaluate the bank’s ICAAP System and process. Its flexible and highly configurable platform allows business users to easily develop advanced, complex risk models and scorecards through easy to execute user interface. Product features include dedicated module for conduct of stress testing covering multiple sensitivity and scenario analysis leading to overall balance sheet simulation for impact on portfolio profitability, solvency and regulatory / economic capital

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Lesson On Demand – Knowledge Management

  • Employee participation in course creation & knowledge building
  • Knowledge sharing & Continuous Updates
  • Response from ODA SME’s on queries raised through LoD
  • Easy access from all geographical locations
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  • Employee participation in course creation & knowledge building
  • Knowledge sharing & Continuous Updates
  • Response from ODA SME’s on queries raised through LoD
  • Easy access from all geographical locations
  • Learning Management System is a salient feature and unique to ODA
  • An E-Learning System to keep our professionals abreast in technology and financial domain
  • Comprehensive methodology to anticipate, identify and combat business challenges
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