CORPORATE SERVICES
Using our broad expertise in various fields like finance, asset management, commodities, management consulting and international trade, we also provide outsourced enterprise risk management, outsourced treasury management and internal auditing.
Enterprise Risk Management
Here we are taking a complete review of the methods, systems and policies created by a company to define, quantify and manage risk.
We are unique in that we take an offensive rather than a defensive or passive position in managing risks whereby the management of risks becomes a launching pad that helps the company achieve its strategic objectives and/or the management of risks is used as a competitive advantage that differentiates it from its competitors.
Due to our background, we focus mainly on four types of risks:
We are unique in that we take an offensive rather than a defensive or passive position in managing risks whereby the management of risks becomes a launching pad that helps the company achieve its strategic objectives and/or the management of risks is used as a competitive advantage that differentiates it from its competitors.
Due to our background, we focus mainly on four types of risks:
Financial risks:
- Pricing risk - Asset risk - Currency risk - Liquidity risk |
Operational risks:
- Customer satisfaction - Product failure - Integrity - Reputational risk - Internal Poaching - Knowledge drain |
Strategic risks:
- Competition - Global Trends - Capital availability - Marketing Risks |
Political Risks:
- Policy Analysis - Political Forecasting - Political Risk Analysis |
Treasury Management
Within this department, we work with our clients to administer to the financial assets and holdings of their business or assets.
Our goal is to optimize their company's liquidity, make sound financial investments for the future with any excess cash, and reduce or enter into hedges against their financial risks.
In doing so, our treasury team performs a wide variety of tasks from cash flow forecasting, investment management and structuring corporate financing for our clients.
Our goal is to optimize their company's liquidity, make sound financial investments for the future with any excess cash, and reduce or enter into hedges against their financial risks.
In doing so, our treasury team performs a wide variety of tasks from cash flow forecasting, investment management and structuring corporate financing for our clients.
Internal Auditing
In this department, we provide companies with an independent and objective assurance designed to add value and improve their organization's operations. We help organizations to accomplish their objectives by bringing a systematic, disciplined approach to evaluate and improve the effectiveness of risk management, control, and governance processes.