Survey on measurement and management of settlement risk

The risk that arises from the settlement of FX and other transactions has long been a concern of risk managers, supervisors and central banks.The BIS has issued a number of analyses and guidance notes on settlement risk, most recently in February 2013, and institutions have upgraded their measurement and management of settlement risk. Nevertheless, as this survey shows, there is still room for improvement particularly by smaller institutions.

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InteDelta helps financial institutions implement risk management best practice. Combining a structured consulting approach with subject matter expertise, we work with our global client base to implement risk management best practice. Our areas of expertise cover the major risks faced by financial institutions: credit, market, liquidity and operational risk, alongside niche specialisms such as collateral management. Our clients have a global spread, ranging from some of the world’s largest banks and asset managers to developing market banks, hedge funds and risk software vendors.

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