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Kyriba Risk Management from Kyriba

Comprehensive treasury risk management solution that helps organizations identify, measure, and manage FX, interest rate, and commodity risk exposures. Includes exposure management, value-at-risk analysis, Monte Carlo simulations, sensitivity analysis, and stress testing capabilities.

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Product analysis by function

Financial Risk Management Systems for Risk Management

Platforms that identify, measure, and analyze market risks, providing tools for stress testing, scenario analysis, and VaR (Value at Risk) calculations to support hedging decisions.
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Core Risk Analytics    
(0 Yes /0 Known /10 Possible features)

Data Management & Integration    
(0 Yes /0 Known /9 Possible features)

Reporting & Visualization    
(0 Yes /0 Known /8 Possible features)

Risk Policy & Control    
(0 Yes /0 Known /6 Possible features)

Hedge Management    
(0 Yes /0 Known /6 Possible features)

User Experience & Interface    
(0 Yes /0 Known /5 Possible features)

Security & Compliance    
(0 Yes /0 Known /6 Possible features)

Performance & Scalability    
(0 Yes /0 Known /5 Possible features)

Deployment & Maintenance    
(0 Yes /0 Known /5 Possible features)

Cost & Licensing    
(0 Yes /0 Known /5 Possible features)

Vendor Reputation & Support    
(0 Yes /0 Known /5 Possible features)

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