Elevating Risk Management,
Insight,
and Control
Empowering Investment Risk Oversight for a $50 Billion Asset Management leader
At Calimere Point, we are proud to have been chosen by our valued client, a prominent Global Asset Management firm managing approximately $50 billion in Assets under Management (AuM). Their commitment to continuous improvement led them to seek our specialized expertise in Investment Risk oversight for their diverse range of funds.
Our mission is to support our clients' financial objectives in an environment of constant change.
Recognising the importance of strengthening their Investment Risk function within the broader control landscape, the management committee made a strategic decision to engage Calimere Point. In today's ever-changing financial landscape, the need for a robust risk management strategy is paramount.
What sets Calimere Point apart is our dedicated team, comprising experienced professionals with extensive risk management expertise across all major asset classes. We have a rich history of serving clients in Investment Banking, Asset Management, and Alternatives, enabling us to offer a comprehensive approach to managing risk.
Industry: Financial Services, Asset Management
Challenges
Senior management committees had identified a lack of constructive challenge from the Investment Risk function.
Lack of innovation in the Investment Risk function had resulted in a high degree of latency in the preparation and distribution of key risk reports.
The lack of constructive challenge from the Investment Risk function, coupled with the lack of innovation, prompted senior management to seek external support to generate a “best-in breed” Investment Risk Function.
Data Solution
Assessing Investment Risk Controls and Infrastructure
Developing a Comprehensive Risk and Control Framework
Enhancing Liquidity Management and Hedging Protocols
Elevating Risk Management: Building resilience, enhancing insight, and empowering decision-making.
Improved the latency and depth of risk reporting to provide a better platform to challenge portfolio and senior management teams.
Delivered a robust Investment Risk function to greatly strengthen the firm-wide control infrastructure.
Developed and implemented solutions to better identify, quantify and mitigate risk concentrations.