Lombard Risk - Risk Management
Risk Management Solutions from Lombard Risk     
Managing Risk
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Risk Management

Manage Risk.  Control More.  And Comply.

Whether you're a business executive looking for better ways to manage risk, a collateral manager needing to execute credit policies aligned with business strategies, a treasury manager looking to ensure optimal use of cash, a compliance manager requiring visibility into operational processes, a trading organization with pressure to expand deal volumes yet mitigate risk, or an IT organization tasked with supporting your organization to deliver optimum liquidity, safety and control, Lombard Risk has the right risk management solution for you.

Everyday large Corporations, Investment Firms, Asset Managers, Hedge Funds and Financial Institutions rely on Lombard Risk to manage the range of risks faced today. Find out how Lombard Risk can help you:

  • Manage complex products, monitor exposure levels, maximize asset utilization and manage credit risk.
  • Safeguard your brand and reputation by avoiding the court of public opinion
  • Trade with confidence and transact with accuracy to capture maximum investment returns
  • Conduct exposure management analysis to avoid the perils of concentration risk

Our risk management solutions offer flexible approaches to your trading and collateral management strategies so you can:


Deployment Options

There’s a reason why several of the world’s top banks, financial firms and large corporations have chosen Lombard Risk. We offer all of the tools and expertise required to get you up and running quickly all for one ‘guaranteed’ fixed implementation fee. Further, by offering a flexible integration approach, our customers can interface to any external business system up or down stream of our risk management solutions, cost-effectively and efficiently.

Learn more about our Deployment Options.


Colline® Proactive Collateral Management
Colline® Reconciliation Management
Oberon® Trade Capture & Valuation
Firmament® Credit & Equity Valuation

Fortis Investments
Hess Corporation
Northern Trust


Lepus Collateral Management Paper

"Given the magnitude of the risk management challenges facing the financial industry over the past year, improving collateral management strategies with Colline is not only relevant — it's rational"

Geoff Kates, CEO, Lepus

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