Capital Markets

Efficiently manage data volumes and accelerate roll-out of new strategies.

Scaled Risk helps you consolidate orders, transactions and market data quickly and efficiently to deploy real-time algorithms and ensure MiFID II and EMIR compliance

Transactions consolidated in a single platform
Real-time aggregation (P&L, VaR)
Real-time calculations (algos, market surveillance)
Support for EMIR and MIFID II reporting

Insurances

End-to-end control of the data chain for all your calculations and Solvency II reporting

Scaled Risk’s solutions arm you with the solutions and scale you need for quality and granular data on all your assets (under management or not), and the tools to set up a dedicated, harmonized Solvency II repository.

Harmonize assets in a single Tripartite Solvency II reporting template (TPT)
Asset look-through on demand
Consistency checks on financial instruments
… your specific need

Banking

Improve customer service while optimizing risk management.

Centralize your customer and contract data, tailor data views by risk need (credit, KYC, etc.) and draw on deep, high-quality data to optimize risk models.

Streamline KYC and AML/CFT due diligence with consistent customer data updated in real time
Ensure BCBS 239 compliance through centralized credit risk calculations that can be audited over time
Simulations of new models and Data Science
… your need specific need

Asset Management

Cut reporting costs, optimize strategy and roll out new services.

Leverage more data for smarter and deeper analytics in real time. New customer experience, ESG, alternative assets: Scaled Risk helps you to fine-tune strategy and automate your reporting, while guaranteeing data quality and traceability.

Consolidated data and ESG calculations
Automated MiFID II and PRIIPS reporting
Daily analysis of inflows and outflows
… your specific need