Lombard Risk - Products
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AML, Regulatory, Risk, Compliance, Collateral management products from Lombard Risk
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Lombard Risk Products

Powerful Solutions. Proven Results. For Today's Risk Management And Regulatory Compliance Challenges.

We offer flexible regulatory compliance and risk management solutions that encompass the requirements for many countries around the globe. Our innovative solutions are based upon the combined strength of technology innovation, customer feedback and a drive to offer the industry’s best solutions.

Global Regulatory Compliance Solutions

Market Pressure

Solution

Product

Basel II and the transition to IFRS

Complete regulatory and financial compliance reporting

STB-Reporter automates and significantly reduces the entire regulatory reporting process without compromising accuracy and facilitates the adaptation to regulatory changes.

New AML and CTF legislation and global efforts to raise AML standards

Anti money laundering, Client due diligence, suspicious activity monitoring and case reporting

STB-Detector controls all workflow required by compliance departments to ensure effective due diligence and transaction monitoring for true KYC support and anti money laundering requirements.

International pressures and regulations requiring effective liquidity management

Stress Testing, Liquidity Analysis, and Management Reporting

STB-Scenario Manager is a liquidity and financial risk reporting solution that is used for stress testing, liquidity analysis and financial management reporting.

Enterprise Risk Management Solutions

Market Pressure

Solution

Product

Significant year over year increase in number of collateral agreements

Proactive Collateral Management

Colline® is a sophisticated, web-based collateral management application designed to streamline and proactively manage all parts of the margin and reconciliation process. Colline enables better asset utilisation and improves risk management strategies.

Diversification of Tradable Instrument Types

Enterprise Trade Capture and Valuation

Oberon® delivers fast, accurate and robust trading and risk management for a wide range of instruments including interest rate and inflation derivatives, FX, money market, and fixed income portfolios.

Credit and Market Risk Management and Identification of Valuable Arbitrage Opportunities

Enterprise Credit and Equity Valuation

Firmament® is an enterprise-wide trading and risk management solution for credit instruments allowing fast reaction to new market products and trends.

Challenging Market Valuation and Liquidity pressures.
 

Valuation and Risk Analysis and Reporting

FirmRisk VaR is a solution for portfolio analysis and trade valuation according to user-defined scenarios and strategies consistent with market and credit risk.

There's a reason why several of the world's top banks, financial firms and large corporations have chosen Lombard Risk. Find out why and learn more about which service is right for you.

 


Colline® Proactive Collateral Management
Colline® Reconciliation Management
Oberon® Trade
Capture & Valuation
Firmament® Credit & Equity Valuation
STB-Reporter
Regulatory Reporting
STB-Detector
Anti-Money Laundering

Hess Corporation
Northern Trust
Sumitomo Trust
Banca di Roma

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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