Case Study

Tier 1 global investment bank implements Counterparty Credit Risk Solution

Tier 1 global investment bank implements Counterparty Credit Risk Solution

Pages 4 Pages

A Tier-1 investment bank faced challenges with their previous risk management solution, which was slow and lacked transparency, hindering IMM approval and adaptability to business growth. They adopted S&P Global Market Intelligence's Counterparty Credit Risk solution, improving regulatory capital calculations and pricing valuation adjustments. This solution enabled the bank to manage over 400,000 trades across various asset classes for more than 29,000 counterparties efficiently. It reduced calculation times significantly and provided the necessary support for IMM approval while ensuring scalability and reducing total cost of ownership.

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