Risk & Regulatory Management

Cronos draws on its extensive business management, technology consulting and systems integration capabilities to offer solutions for managing risk and lowering costs in an uncertain and volatile business environment. We combine our people skills with our industry expertise to transform the risk function from a series of transactions to an integrated, strategic endeavour that encompasses investment, finance and operational decision making.

Cronos focuses on risk management for banks, hedge funds and the asset-management industry and covers:

  • Market Risk
  • Credit Risk
  • Liquidity Risk
  • Settlement Risk
  • Regulatory Risk

Cronos’s core areas of expertise include risk management methodologies, systems selection, systems implementation and custom development. Furthermore, Cronos has been involved in delivering both SOX & Dodd Frank complaint environments and in satisfying various regulatory agencies, including the SEC, FINRA & the FCA as well as various acts, standards and statements like Basel III, AIFMD & SSAE16.