Today, financial risk management has become an essential part of corporate governance, improving corporate accountability and the creation of wealth. By finding ways to better allocate resources, financial risk management prevents major crises and makes businesses more profitable.
That said, financial risk management has recently become much more complex and difficult to master. The field is amazingly wide, including sub-divisions involving market, credit and operational risk. If your bank, financial institution or corporation is considering financial risk management, Sigma Two may provide the expertise you are looking for.
Sigma Two is a top-level financial risk consultant, specializing in assisting banks and enterprises in developing economies. We help implement solutions that have been developed and proven successful by major international banks. 100% result oriented, Sigma Two assists you through all stages of implementing innovative and effective solutions for your firm to help you better manage financial risk.
Sigma Two provides consulting services and financial training in these fields
Risk management (credit, market, operational)
Capital market and treasury
Financial training
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"Indeed too much public focus has been placed on the sophistication and precision of risk estimation models, and not enough on the more important managerial and judgmental elements of a strong risk management framework. In the end, experience, market knowledge, management discipline, internal risk transparency and strong internal controls will be the more important determinants of how well financial institutions fare when the next storm comes."
Counterparty Risk Management Policy Group, June 1999