We help organisations structure liquidity, credit, market and financial-control risks around scenarios, thresholds, evidence and accountable response.
Outcomes are defined around decisions, control confidence and response—not a larger register.
Quantify material financial sensitivities and concentration.
Define indicators and escalation points before pressure becomes a crisis.
Connect scenarios to funding, control and management actions.
Map cash-flow, counterparty, pricing and control exposures.
Model relevant shocks, dependencies and management assumptions.
Assess limits, approvals, reconciliations and monitoring evidence.
Set triggers, actions, owners and review cadence.
Exposure profile · scenario analysis · control review · indicators and actions
A Financial Risk Management engagement should leave a useful evidence trail: an agreed baseline, documented decisions, delivered artefacts and an outcome review against the measures defined at the start.
Bring the exposure, the decision and the evidence available. We’ll help define a proportionate first step.
Srebrenička bb · Bosanski Petrovac · office@companionscorp.com