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Found  788 white papers and resources

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Integrated Finance and CRM Software: Improving business efficiency by combining finance and CRM solutions

Company: Concentrix Ltd

This white paper discusses why businesses use finance and CRM software, the differences between front-office and back-office systems and some of the reasons for linking the software within them. VIEW SUMMARY

Category: Technology Systems and Software | Published: 28 April 2009 | Type: White Paper

Rating: + 1

Meeting FFIEC guidance and cutting costs with automated fraud prevention

Company: IBM United Kingdom Limited

This white paper will discuss how organizations can achieve effective and sustainable online banking fraud prevention in accordance with FFIEC guidelines using the IBM Security cybercrime prevention architecture. VIEW SUMMARY

Category: Compliance | Published: 04 February 2015 | Type: White Paper

Rating: + 2

Bloomberg Ready to Support Buy-side in Valuation & Collateral Reporting under EMIR

Company: Bloomberg

Back in February this year, buy-side institutions and their bank counterparts were required to start reporting derivative trades and positions under EMIR (European Market Infrastructure Regulation). Bloomberg moved quickly to provide its EMIR reporting solution under this first phase and is already VIEW SUMMARY

Category: EMIR | Published: 15 September 2014 | Type: White Paper

Rating: + 3

Reducing the Risk of Using Financial Models

Company: Numerix LLC

At their core, institutional financial markets exist to transfer risk. Whether via corporate lending, equity ownership or the creation and sale of structuredcredit derivatives, financial firms work to shuffle around different forms of risks—from those looking to mitigate it to those looking to take VIEW SUMMARY

Category: Private Equity | Published: 23 April 2015 | Type: White Paper

Rating: + 7

Real-World Equity & Volatility Behavior: Implications for Economic Scenario Generation

Company: Numerix LLC

This paper examines the differences between risk-neutral dynamics and real-world dynamics, and the important role of risk premia. We highlight why real-world dynamics are necessary for risk analysis and scenario generation, and also explore the roles of the equity premium and volatility premium in VIEW SUMMARY

Category: Operational Risk | Published: 16 April 2015 | Type: White Paper

Rating: + 6

Setting the Stage: FATCA Compliance

Company: Oracle

The Foreign Account Tax Compliance Act stands to transform the global tax framework and how financial institutions track and report on their clients’ financial assets. With the law slated to come into effect in 2013, its implications and how financial institutions need to prepare is considered. VIEW SUMMARY

Category: Compliance | Published: 23 October 2012 | Type: White Paper

Rating: + 13

Greek Crisis 2015: Stress Testing Scenarios for Asset Management Portfolios

Company: Axioma

In this paper, we explore the history of the latest Greek crisis, review approaches taken by market practitioners to stress testing, and outline potential scenarios that portfolio managers may wish to examine. VIEW SUMMARY

Category: Asset Liability Management | Published: 29 September 2015 | Type: White Paper

Rating: + 17

Reinforcing Market Confidence with Consistent Stress Testing

Company: Wolters Kluwer

In this paper we will explore how financial institutions are able to systematically increase the confidence from both their customers and regulators by applying integrated and consistent stress testing techniques and methodologies. VIEW SUMMARY

Category: Credit Risk | Published: 24 November 2014 | Type: White Paper

Rating: + 1

Liquidity risk management: assessing and planning for adverse events

Company: IBM Business Analytics

This paper takes a close look at the factors involved in the recent crisis and the patterns that resulted in widespread liquidity problems. It also points to specific vulnerabilities faced by financial institutions currently, and highlights best practices for liquidity risk management. Findings VIEW SUMMARY

Category: Credit Risk | Published: 17 November 2014 | Type: White Paper

Rating: + 9

Managing legal risk effectively

Company: Berwin Leighton Paisner

Managing legal risks from the perspective of general counsel are reviewed. Supporting lawyers in making risk decisions, escalating issues and integrating with the risk management frameworks and risk culture of the broader business is a new point of focus for corporates and financial institutions. VIEW SUMMARY

Category: Corporate Structures | Published: 25 November 2014 | Type: White Paper

Rating: + 9

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