Alternatives to Kamakura Risk Manager

Compare Kamakura Risk Manager alternatives for your business or organization using the curated list below. SourceForge ranks the best alternatives to Kamakura Risk Manager in 2026. Compare features, ratings, user reviews, pricing, and more from Kamakura Risk Manager competitors and alternatives in order to make an informed decision for your business.

  • 1
    Predict360

    Predict360

    360factors

    Predict360 is an integrated risk and compliance management software platform for financial and insurance organizations. It integrates risk and compliance processes and industry best practices content into a single platform that streamlines regulatory compliance, improves efficiency, predicts risk, and provides best-in-class business intelligence reporting. Predict360 includes the following Risk Management applications: Enterprise Risk Management (ERM), Risk Management and Assessments, Risk Insights, Issues Management, Peer Insights, Third-Party Risk Management, and Quarterly Certifications and Attestations. Compliance applications are: Compliance Management, Compliance Monitoring & Testing, Complaints Management, Regulatory Change Management, Regulatory Examination and Findings Management, Policy & Procedure Management, and more. 360factors also offers Lumify360 - a KPI and KRI predictive analytics platform that enriches data, predicts performance, and works alongside any GRC.
    Leader badge
    Partner badge
    Compare vs. Kamakura Risk Manager View Software
    Visit Website
  • 2
    RiskConfidence

    RiskConfidence

    Moody's Analytics

    The RiskConfidence ALM system offers integrated enterprise asset and liability management (ALM), funds transfer pricing (FTP), liquidity risk management, market risk and Value at Risk (VaR), and business and regulatory reporting. These are all presented in a single unified platform, with a common data source and a single engine strategy. Organize and classify financial instruments on a balance sheet into a tree-like structure to input client behavior models and define business forecasts, using the chart of accounts (COA) structure. Set up and manage a rule-based strategy for specific balance sheet items with parameter deal mapping (PDM). Apply transformation logic to interest rate curves, macroeconomic indices, foreign exchange rates, transaction characteristics, and volatility matrices to use in scenarios. Model client behavior such as loan prepayments and renegotiations, loan commitments, transaction rollovers, and term deposit early redemption with the variables that influence them.
  • 3
    Fiserv Financial Risk Management
    Solutions for Financial Risk Management from Fiserv support asset liability management, market risk, credit risk, liquidity risk, interest-rate risk and funds transfer pricing capabilities to give your organization a truly enterprise view of risk. Every balance sheet is exposed to risk. Since financial services professionals do not have psychic powers, you must evaluate multiple balance sheet structures under alternative interest rate scenarios. Why? Financial institutions need to understand how much risk exposure is embedded in their balance sheet. Certain balance sheet compositions perform better in rising rate environments, and others in falling rate environments. Whether you choose to actively assume financial risk for income opportunities or minimize financial risk by immunizing it, you must be able to assess the embedded amount of risk in your balance sheet. This allows your organization to adjust and/or control the risk to suit business goals and plans.
  • 4
    Transfer Pricing Manager

    Transfer Pricing Manager

    Transfer Pricing Manager

    TPM is a unique transfer pricing risk management software designed by SWGK experts. The program speeds up the process of collecting and analyzing information regarding transactions with related entities and creating transfer pricing documentation. TPM also provides the possibility of flexible reporting for tax and internal purposes. Transfer Pricing Manager it is an advanced program for comprehensive management of the process of preparing transfer pricing documentation. The application supports the User in all stages of the – transfer pricing risk management process, from identifying the scope of obligations related to transactions with related entities, through collecting and analyzing information about transactions, to creating a coherent package of documents and providing controlling information in the field of transfer pricing in the company and in the capital group of related entities.
  • 5
    Coperitas

    Coperitas

    Coperitas

    Coperitas is a flexible transfer pricing solution developed by transfer-pricing and software experts to consolidate all relevant data and documents in one professional environment, providing a clear overview and deep insights into corporate structures, intercompany transactions, and financial systems. Its interactive, customizable dashboards and monitoring tools streamline the entire transfer pricing lifecycle, from policy design and implementation to ongoing compliance monitoring, control, and documentation, by automating data integration, report generation, and regulatory processes. By minimizing manual errors and dependency on key personnel, Coperitas ensures consistent, efficient handling of benchmarks, reports, and country-specific requirements, while its adaptable architecture accommodates each multinational’s unique business model. Accessible via an intuitive web interface, it empowers tax teams to save time, reduce risk, and allocate resources more strategically.
  • 6
    Risk Controller

    Risk Controller

    Risk Control

    RC-ICAAP and Stress Testing System The system enables banks and asset managers to perform Pillar II capital calculations and to generate stress test projections for the full set of risks required by regulators. We develop and license enterprise software implementing rigorous risk methodologies. Our software is used by leading banks, asset managers, funds and public institutions around the world. We develop and license enterprise software implementing rigorous risk methodologies. Our software is used by leading banks, asset managers, funds and public institutions around the world. Our software is subject to continuous development as we incorporate new features and improvements. Risk Control software is designed to integrate seamlessly with clients’ existing up- and down-stream systems. Risk Control can tailor flexible software platforms to supply bespoke solutions precisely matching client needs.
    Starting Price: $4000 per month
  • 7
    Reptune

    Reptune

    Reptune

    Reptune is a plug-and-play web application for efficient global transfer pricing documentation that requires no installation and delivers rapid time-to-value by guiding you through project setup, login provisioning, and interactive workshops. Its intuitive, modular interface centralizes all TP data to automate the preparation of master and local files, support country-by-country reporting, and perform gap analyses, while online dashboards let you monitor progress, identify risks, and track updates in real time. Designed by TP experts and engineers, Reptune streamlines every step, from data consolidation and risk management to report generation and audit-ready deliverables, in just a few days, and offers flexible engagement models ranging from full insourcing to complete outsourcing by the Reptune team.
  • 8
    Optimizer

    Optimizer

    Synertree CMS

    Set up asset allocation rules and keep the portfolio running as you intended. Rebalance investment portfolios according to the total risk metrics or individual asset risk levels. Optimize asset allocations for the portfolio based on risk or risk-adjusted return metrics. Lower your infrastructure cost to Zero. Portfolio managers can simply initiate and quickly scale immediately. All while keeping their overhead costs low. Updates and maintenance are automatic. Run your portfolio management practice with less headaches and more power. Risks can happen without a warning. A systematic risk management approach is required to keep your portfolios in check. The risk engine automatically provides updates on the dollar amount that is at risk. Instead of approximating risks, portfolio managers can monitor portfolio volatility and asset price risks on the dashboard. Our capital management software are built with your clients in mind.
    Starting Price: $220 per month
  • 9
    ActiveViam

    ActiveViam

    ActiveViam

    The unified platform for enterprise data analysis. Provide your teams with a single environment for all your analytics needs, including data science, modelling, visualization, business dashboards and application development, all the way through to production deployment. Gain consolidated, in-depth insights into risk metrics across all systems for real-time front-office trading and intraday risk management. Optimize capital allocation and ensure regulatory compliance with FRTB, LCR, IFRS 9 and more. Based on our proprietary ActivePivot technology, leveraging Python and Java with a strong focus on collaboration, Atoti+ brings together the builders and consumers of analytics applications to accelerate and streamline the design and development process. Innovative data analytics that empower financial services firms to be ready for the unexpected. Integrates with existing databases, risk engines and BI tools.
  • 10
    Synergen

    Synergen

    Synergen Technologies

    Synergen is a transfer pricing solution for cash pools. It helps treasury and tax teams automate the daily calculation of OECD-compliant, arm's length interest rates, and allocates cash pool synergies across participating entities. The platform monitors structural balance positions, applies customisable thresholds, and generates alerts to identify concentration and position risks within the pool. Configurable interest settlement periods automatically compute accrued intercompany interest payments for defined periods, simplifying operational settlement. One-click exports generate transfer pricing documentation, detailed reports, balance analyses, and visualisations to support audit readiness and tax compliance. Synergen complements treasury management systems by providing specialised transfer pricing calculations for intercompany cash pooling. The platform supports physical and notional cash pools, floating interest rates, and multiple currencies.
  • 11
    TPIL Genetics™
    TPIL Genetics™ is an AI-powered, end-to-end transfer pricing platform used by corporates globally to simplify, strengthen and scale compliance in a more efficient and cost-effective way. Built to be industry-agnostic, it brings consistency across transfer pricing policy, implementation and documentation through one centralised ecosystem. The platform streamlines data collection, automates TP calendars and workflows, supports real-time management of intercompany policies, and delivers defensible benchmarking, Pillar Two readiness and global compliance. It produces complete three-tier documentation, supports jurisdiction-specific disclosures, and enables localisation in English and additional local languages. With integrated knowledge management, audit trails and collaboration tools, TPIL Genetics™ helps multinational groups reduce risk, improve transparency and achieve audit-ready compliance across all entities and jurisdictions.
  • 12
    Aibidia

    Aibidia

    Aibidia

    Effectively collect data, cooperate with other teams and partners, and manage every element of your transfer pricing, all in one place, because smart tax management is smart business management. Minimize time wasted on automatable manual tasks, and cut costs by reducing reliance on expensive local consultants. Set parameters that align with your company strategy, then manage your transfer pricing to optimize your ETR accordingly. Reduce potential tax risks with fully compliant documentation, audit-ready data trails, and the visibility to preemptively manage potential tax issues. The Aibidia platform connects all of your company’s data, plus trusted third parties, in one central hub. It provides a singular common language, allowing teams across organizations and jurisdictions to collaborate. So you can manage every element of your transfer pricing in-house and on-platform. Improve the quality of your transfer pricing compliance processes, whilst still saving time and money.
  • 13
    FinTrak Credit Risk 360

    FinTrak Credit Risk 360

    FinTrak Software Company Limited

    FinTrak Credit Risk 360 was designed to help banks meet the need to identify, measure, monitor and control credit risk as well as to determine that they hold adequate capital against these risks and that they are adequately compensated for risks incurred. The Credit Risk 360 solution is Web based and can be easily accessed from all branches of the bank without separate installations on branch by branch basis Our solution integrates seamlessly with your existing investment to help you mitigate against waste and loss. Our team will provide all the support needed to make your experience pleasantly unforgettable.
  • 14
    RiskShield
    RiskShield is a financial crime management and risk assessment platform designed to help organizations detect, prevent, and manage fraud, ensure regulatory compliance, and monitor risk across multiple channels in real time. It combines hybrid artificial intelligence techniques, including machine learning, dynamic profiling, and rule-based logic, to deliver predictive analytics and human-like decision-making that adapts to evolving criminal behavior. It operates as a real-time decision engine, instantly analyzing transactions and activities to identify suspicious patterns, assess risk, and trigger appropriate actions without delay. It supports a wide range of use cases such as fraud prevention, anti-money laundering compliance, and risk monitoring, covering industries like banking, payments, insurance, and telecommunications. RiskShield provides flexible and configurable monitoring across products and channels, allowing organizations to unify risk management.
  • 15
    ProfitStars Asset Liability Management
    With ProfitStars Asset Liability ManagementSM – the industry’s leading financial management tool for over 30 years, you’ll get a strategic approach to managing risk by closely integrating your institution’s initiatives with your ALM program. Plus, it’s now part of the hosted Financial Performance Suite. Easily track “what-if” scenarios with strategic monitors that automatically create audit trails, analyze market risk in response to interest rate risk regulatory requirements, determine accurate values for FAS107 reporting, and create detailed, summary, and variance finance and budget reports.
  • 16
    Featurespace

    Featurespace

    Featurespace

    Featurespace’s ARIC Risk Hub for enterprise fraud and financial crime monitors real-time customer data, using our proprietary machine learning inventions, adaptive behavioral analytics and automated deep behavioral networks. ARIC Risk Hub offers multiple solutions for fraud and Anti-Money Laundering analysts to spot suspicious activity and prioritize alerts with explainable anomaly detection. At the same time, ARIC Risk Hub recognizes genuine customers without blocking their activity, reducing friction. Working as a technology partner to the financial services industry, our ARIC Risk Hub is deployed in some of the world's largest banks, payments processors and merchant acquirers. Delve deeper into the full features and functionality of our world-leading, real-time machine learning product for enterprise fraud and financial crime prevention, by requesting access to its blueprint.
  • 17
    Kinective ALM

    Kinective ALM

    Kinective

    Data doesn’t have to be complicated or overwhelming. Measure and manage risk while maximizing profit with Kinective’s enterprise-level data optimization platform, Kinective ALM™ (formerly OmniLytics). Measure and manage risk while maximizing profit with our enterprise-level interest rate risk management and reporting suite. • Quick, actionable insights for managing interest rate and liquidity risk with transparency into critical issues • Fully understand risk and meet Asset Liability Management (ALM) and CECL requirements with in-depth reporting and analysis • Access ALM consultants for live, in-depth analysis and recommendations • Asset liability committee training
  • 18
    AgenaRisk
    AGENARISK uses the latest developments from the field of Bayesian artificial intelligence and probabilistic reasoning to model complex, risky problems and improve how decisions are made. You can use AgenaRisk models to make predictions, perform diagnostics and make decisions by combining data and knowledge about complex causal and other dependencies in the real world. Our clients use AgenaRisk to model a variety of problems involving risk and uncertainty including operational risk, actuarial analysis, intelligence analysis risk, systems safety and reliability, health risk, cyber-security risk and strategic financial planning. AgenaRisk designs and markets groundbreaking products using Bayesian Network technology. Our technology and accompanying methodology has been published in top academic AI, machine learning, actuarial, decision science and cognitive science journals.
  • 19
    Risk Explorer

    Risk Explorer

    Ultimate Risk Solutions

    With its presence in over 30 countries, Risk Explorer™ is at the heart of enterprise risk modeling processes worldwide. As our flagship industry-leading risk and financial modeling platform, Risk Explorer™ features powerful analytics and high-performance simulation technology that is flexible, transparent, and easy to learn. Insurers, reinsurers, reinsurance brokers, regulatory authorities, and consultants, including small, large, and industry-leading companies, capitalize on Risk Explorer’s advanced modeling capabilities and proven technology to add value to their enterprise. Risk Explorer’s software engineering design and user-intuitiveness allows even the largest corporate risk models to be built within days after all risks in the model are parameterized, which ensures quick delivery of commercial benefits derived from financial modeling.
  • 20
    Jack Henry Financial Crimes Defender
    Jack Henry Financial Crimes Defender is a next-generation financial crimes platform. The Financial Crimes Defender platform's analytics engine integrates Feedzai, the world's largest RiskOps platform for financial risk management.
  • 21
    TPGenie

    TPGenie

    Intra Pricing Solutions

    TPGenie is an AI-powered SaaS platform offering an all-in-one transfer pricing documentation solution that simplifies the creation, updating, and management of master files, local files, benchmarking studies, intercompany agreements, Pillar Two compliance, and country-by-country Reporting in accordance with OECD and local regulations. For more than a decade, hundreds of multinationals, tax advisors, and local entities have used TPGenie to automate document generation, streamline benchmarking analyses, assess risk, and ensure audit-ready compliance. It provides free master files and local file templates, easy four-step local file creation, integrated high-quality benchmarking databases, TP Copilot’s AI-driven validation to detect discrepancies and enforce compliance, automatic translation of documents, real-time currency conversion, Excel export for reconciliation, and a compliance tracker that monitors deadlines and country-specific requirements.
  • 22
    Commenda

    Commenda

    Commenda

    Commenda is an AI‑powered global business console that centralizes entity formation, incorporation, tax compliance, and financial reporting across multiple jurisdictions into a single, intuitive platform. It automates the end‑to‑end lifecycle of global expansion, from setting up subsidiaries and drafting transfer pricing agreements to filing VAT, GST, sales tax, and corporate tax returns, while delivering real‑time dashboards for continuous compliance monitoring, automated reminders for upcoming deadlines, and centralized document management. Built‑in workflows enforce governance controls such as segregation of duties and risk assessment, and API integrations with leading ERP and accounting systems ensure seamless data synchronization, audit trails, and budget‑to‑actual variance analysis. Users can generate standardized filings, custom reports, and cross‑border financial statements without manual spreadsheets, tapping a on‑demand network of local experts for guidance.
  • 23
    A1 Tracker

    A1 Tracker

    A1 Enterprise

    A1 Tracker is presented by the vendor as a robust & configurable risk management software offering either stand-alone or fully-integrated risk management software covering many business segments across an organization. Claims & Incident Management Claims & incident reporting for claims of any type: injuries, medical, commercial, customer, insurance, work comp, asset, auto, liability. Risk Management & Threat Assessment: Risk register for tracking risks at any level in an organization, including by entity, project, asset, contract, vendor, division, business, unit, region, and more. Real-time risk reports & heat maps, dashboard metrics, alerts, & notifications. Contract Management: Contract module for tracking contracts of any type with vendors, employees, customers, and any other parties. Insurance Policies & Certificates: Policies & certificates of insurance tracking with reminders & renewals. For agencies & carriers policy management includes tracking clients.
  • 24
    RiskAvert

    RiskAvert

    Profile Software

    RiskAvert is a robust risk management solution that assists financial institutions to gather and reconcile data, calculate, aggregate, and report regulatory credit, market, operational, and concentration risk in a natively integrated, yet modular environment. It covers all approaches for operational, market, and credit risk calculation allowing the bank to evolve from a standardized approach to the IRB approaches. The solution also supports XBRL validation and conversion functions for multiple taxonomies. The solution’s comprehensive cube-based MIS reporting engine fully supports market disclosure requirements, while the supervisory review is covered through a holistic stress-testing framework, as well as extensive concentration risk measures and reporting. Full coverage of the EU-CRR/CRD Regulation and its future evolutions. Credit risk capital requirements calculations according to standardized and IRB approaches.
  • 25
    Northstar Risk

    Northstar Risk

    Northstar Risk

    Northstar is a leading risk management software provider. Northstar provides a complete solution for today’s hedge funds:: market risk management, performance analysis, real-time alerts, liquidity management, investor reporting, and model validation, all in one integrated platform. Northstar is not just software, it's a service. Other vendors require you to build complex systems to import, export and store data. At Northstar, our experts will fully integrate your back office systems with our platform. Each day, your data is automatically loaded, crosschecked, and stored in your own private data warehouse, giving you easy access to current and historical data. Northstar is faster, easier to maintain and more accurate, saving you time and money. Northstar has been recognized as among the best risk management service providers, including six nominations from HFM for Best Risk Management Solution, Best Risk Management Technology, and Best Risk Management Technology Provider.
    Starting Price: $40,000.00/year
  • 26
    CRMA

    CRMA

    CRMa

    CRM_A is the proven industry-best integrator of credit risk expertise, quantitative analysis, and technology. We have over 30 years of success serving lenders across the United States with rigorous loan reviews and due diligence. CRM_A provides a wide range of underwriting, risk grading, and analytical products and services. Our full-spectrum capability is unmatched in providing a truly complete view of risk, from individual loans to aggregate portfolios and the total enterprise environment. This sets us apart in our ability to assist in identifying credit-risk objectives, optimizing management, and increasing our clients' profitability. Enhanced asset performance is a competitive edge. These values determine your success in both day-to-day operations and strategic pursuits. Manage workflows, key data point capture, and enhance underwriting consistency and efficiency.
  • 27
    Numerix

    Numerix

    Numerix

    Discover your competitive advantage with Numerix capital markets technology solutions. Create opportunity for trading operations, effectively manage risk, and gain the speed, scale and resilience you need to redefine success. Numerix Oneview is a comprehensive, real-time capital markets risk management system that empowers sales, traders and risk managers with a holistic, multi-dimensional view of their derivatives and structured products businesses. Powered by the industry’s most sophisticated cross-asset pricing and risk analytics and optimized for performance, Oneview’s wide range of modules enable powerful decision insights and uncompromising accuracy. Oneview provides a broad perspective across your entire derivatives business, helping you make the right decision when it matters most.
  • 28
    CURA

    CURA

    CURA Risk Management Software

    CURA provides smarter software solutions designed to enable businesses around the world to quickly achieve the bottom-line benefits of Governance, Risk and Compliance (GRC). Our innovative technologies put the power of configuration in the hands of our customers, which is why our solutions are used by global and mid-sized enterprises around the world. CURA offers a range of products, including: Enterprise Risk Management (ERM) Operational Risk Management Business Continuity Management Incident Management Policy Management Compliance Management Risk-Based Audit Management Regulatory Compliance Enterprise Legal Management CURA's innovative technologies put the power of configuration in the hands of their customers.
  • 29
    Moody’s Risk Modeler

    Moody’s Risk Modeler

    Moody's Corporation

    To improve underwriting, risk transfer, and pricing decisions in an increasingly challenging market, (re)insurers need modeling software that delivers faster analytics, deeper insights, and more efficient workflows. That’s the advantage of establishing Risk Modeler™ as the foundation of your interconnected risk lifecycle. Better understand drivers of risk with greater modeling transparency, flexibility, and customization. Decrease expense ratios, increase productivity, and improve risk insights with third-party modeling. Build new digital workflows and meet evolving business requirements with cloud-native architecture. Risk Modeler can run more than 400 Moody’s RMS models, and more than 300 models available in the Nasdaq platform across multiple regions, perils, and lines of business using a common cloud platform.
  • 30
    SS&C EVOLV

    SS&C EVOLV

    SS&C Technologies

    SS&C EVOLV is a comprehensive, cloud-based, end-to-end accounting solution for financial institutions that integrates and automates all risk and finance processes relating to a loan portfolio, from data capture to back-end reporting and analytics. It streamlines loan accounting, increases efficiency, assures data integrity, strengthens compliance and frees managers to focus on making better informed decisions. And it’s the only integrated risk and finance solution with the flexibility to adapt to new and ever changing accounting standards. Integrate and automate risk and finance processes and eliminate the need for offline manual and spreadsheet-based processes that are too often performed outside the loan servicing system. Solve reserving challenges by being prepared for evolving loan loss methodologies, including CECL and IFRS9. Improve compliance readiness and reporting with greater automation and data integrity.
  • 31
    RiskAPI Add-In

    RiskAPI Add-In

    PortfolioScience

    As a hedge fund or a hedge fund service provider, you need a comprehensive, powerful, and dynamic system to identify and analyze market risk. The answer is RiskAPI. Set up a portfolio risk management infrastructure for your hedge fund in record time and at minimum cost. Measure client-wide exposure. Provide clients with portfolio risk management tools, analytics, and robust reporting. Provide fund clients with multi-asset, multi-currency portfolio risk reporting as a value-added service. Integrate sophisticated portfolio risk analytics into your pre-trade functionality, a winning combination. PortfolioScience specializes in risk management technology for financial institutions, investment services, financial advisors, hedge funds, and commodity producers. The company's cloud-based RiskAPI® service allows fund managers, advisors, traders, and both buy-side and sell-side market participants, to access powerful risk analysis capabilities on demand. RiskAPI includes all required data, etc.
    Starting Price: $300 per month
  • 32
    ACA ComplianceAlpha
    Build a scalable and resilient compliance program with ComplianceAlpha, our regulatory technology software platform supported by managed services. Achieve better outcomes and economies of scale with integrated technology and managed services. A comprehensive compliance program is critical not just to protecting your business – but to growing your business. See how ComplianceAlpha is helping over 800 leading financial services firms around the world build better GRC programs. Build a more resilient and comprehensive compliance program. ComplianceAlpha integrates risk and compliance activities, surveillance and monitoring, testing, and analytics in one platform to provide you with a unified view of risks and behavior across your firm. We pool our collective expertise across regulatory compliance, cybersecurity, performance, ESG, and technology to design, develop, and deliver valuable and timely solutions to your most pressing challenges.
  • 33
    CashRisk

    CashRisk

    Datalog Finance

    In an environment where the market instability is a daily reality, managing financial risks is a major challenge for the treasurers. CashRisk brings an obvious and efficient answer to reach such a target. Its brand new “front to payment” approach and the total separation between decision-making, administrative and control functions, CashRisk software give all the treasury actors a thorough, reliable and completely secured management of financial transactions. The software package includes all the main market instruments (accounting, terms, derivatives, swap) to meet the expectations and functions related to Front Office, Middle Office (Risks, P&L, EMIR compliance) and Back Office (accounting and reportings) functions. CashRisk is designed with experts in treasury management, market operation management and risk management. It meets the following requirements: compliance with financial and accounting rules and standards (IAS, IFRS), respect of the tresaurers standards, audit reports.
  • 34
    Enterprise OpRiskCenter

    Enterprise OpRiskCenter

    Centerprise Services

    Implement a comprehensive solution for operational risk that not only measures op risk but also provides a foundation for reducing operational risks while lowering costs. Operational risk management functionality built on an enterprise-wide foundation covering organizational, process, and data management functionality. Firms are rapidly adopting the view that an effective system solution for operational risk must go beyond risk assessment surveys, loss event databases, and op risk capital calculations. Operational risk exists everywhere and in every process – from human resources to front office to accounting to financial control to settlements. Thus, the demands of operational risk drive the need for a strategic enterprise view and an enterprise-worthy system solution that can both measure and manage op risk. The top layer is strongly supported with several key underlying components, which are essential for reducing process-related risks.
  • 35
    Mitratech Continuity
    AI-driven technology enables financial institutions to fully automate their risk and compliance processes. Continuity is a RegTech solution that automates risk, compliance, vendor and performance management for the financial services industry. It integrates the mandated processes of risk and compliance to boost performance. By combining regulatory expertise with cloud technology, Continuity reduces your regulatory burden and mitigates risk at a fraction of the cost. Hundreds of financial institutions across the United States benefit from our solution. Continuity’s enterprise risk management (ERM) technology, compliance, vendor, and performance management systems are tailored to meet the specific needs of banks, credit unions, mortgage companies and financial technology firms of all sizes. A robust platform that’s built for flexibility and efficiency.
  • 36
    Elliptic

    Elliptic

    Elliptic

    Blockchain analytics, training, and certification for crypto businesses, financial institutions, and regulators. Manage financial crime risk, achieve regulatory compliance, and grow with confidence. Our crypto compliance solutions and services are used by crypto businesses, financial institutions, and regulators to detect and prevent financial crime in cryptoassets. Blockchain analytics across more than 100 cryptoassets and 10 billion+ data points provide accurate, actionable insights that businesses rely on to mitigate risk and be compliant. Elliptic provides blockchain analytics for cryptoasset compliance. Enable your compliance team to manage risk across 100+ cryptoassets and fulfill regulatory requirements. Compliance is a competitive advantage that builds trust with regulators, customers, and partners. Having the most accurate AML monitoring solutions is critical, as is investing in your team to build the knowledge needed to remain compliant.
  • 37
    Ethos

    Ethos

    Ethos

    Ethos is a comprehensive Model Risk Management (MRM) platform designed to streamline every stage of the MRM lifecycle for financial institutions. From development and documentation to validation and automated reporting, Ethos simplifies complex processes through real-time dashboards, automated workflows, and robust governance structures. The platform ensures full compliance with regulatory standards such as SR 11-7, OCC 2011-12, NIST, GLBA, CCAR, Basel III, DFAST, and FASB. Ethos offers features like Governed Inventories, serving as a single source of truth for all models to promote trust and alignment across all lines of defense. Its Workflow Engine automates and standardizes the entire MRM lifecycle, enhancing operational efficiency and fostering collaboration among teams. Built by financial industry experts, Ethos delivers accuracy, compliance, and resilience, enabling organizations to manage both traditional and AI-driven models effectively.
  • 38
    SS&C Algorithmics

    SS&C Algorithmics

    SS&C Technologies

    SS&C Algorithmics MDAS offers end-to-end managed data services as well as access to sophisticated risk management, analytics and investment decision support tools on a highly scalable platform without the significant costs of maintaining a full on-premise deployment. With its integrated risk framework including a broad coverage of asset classes and access to an extensive range of financial models, SS&C Algorithmics provides features of an on-premise financial risk solution with bundled data on cloud. SS&C Algorithmics combines the benefits of turn-key risk services with flexibility of solution customization and operational robustness. Cloud Advantage - Highly scalable, flexible and secure platform with increased performance provides more value at lower costs. Advanced Analytics - Extensive coverage in asset classes, analytical models and risk perspectives across instruments, risk factors and investment strategies.
  • 39
    VestServe

    VestServe

    VestServe

    Drive accuracy, productivity, growth, and innovation for your business with Vestserve. Powerful and fully integrated, Vertserve is a reliable investment management and accounting solution that provides mission-critical services to leading financial institutions. By integrating the front, middle, and back office operations in a single unified solution, VestServe helps improve business efficiency and performance while reducing total cost of ownership. Powerful portfolio management features include performance measurement rule-based modeling/compliance, breakout allocations and returns, risk analytics, scenario tool, and yield curve analysis.
    Starting Price: $27500.00/year
  • 40
    Riskonnect

    Riskonnect

    Riskonnect

    Riskonnect is a trustworthy and reliable Integrated Risk Management system that offers a developing suite of solutions on a world-class cloud computing model, which empowers customers to promote their projects for the administration of all risks across the enterprise. Riskonnect enables organizations to comprehensively grasp, oversee and control dangers, positively affecting shareholder value. Riskonnect's exceedingly configurable technology is perfect for groundbreaking associations confronting increased examination and accountability for corporate governance, strategy, and strategic risk. The incorporated arrangements encourage the capacity to get ready for and respond intelligently to all risks that could potentially hurt an organization and its' competitive position, harm the corporate reputation and limit key development. Once completely incorporated, Riskonnect's features include Auditing, Business Process Control, Corrective Actions (CAPA), Risk Assessment, and Compliance.
  • 41
    NICE Actimize X-Sight
    NICE Actimize X-Sight is an enterprise-level financial crime risk management platform built for scale, flexibility, and cloud readiness. It enables organizations to manage and analyze limitless data from any source to better detect and prevent financial crime. X-Sight replaces siloed, reactive systems with a proactive, AI-driven approach to risk management. The platform delivers intelligent automation, advanced analytics, and centralized entity risk profiles. With a single entity profile and trust score, teams gain a unified view of risk across the organization. X-Sight is designed to meet regulatory compliance and reporting requirements while controlling operational costs. Its cloud-powered architecture supports continuous innovation and enterprise-grade performance.
  • 42
    Company Watch

    Company Watch

    Company Watch

    We provide comprehensive solutions to help you identify, assess, and manage financial risk. Our financial risk solutions provide intelligent and actionable insights, giving you an unbeatable edge when it comes to financial risk management. Unlike other providers, we have the ability to map medium to long-term risk as well as short-term risk. As a result, you can accurately predict financial risks before they become financial losses. We apply cutting-edge machine-learning techniques to new, alternative data sources to deliver unprecedented accuracy for our clients. Financial risk management solutions you can trust; now, and in the future. We’ve written the ultimate guide to company credit scoring. We lift the lid on how credit scores are built, and how they are applied to financial risk decision-making. Each credit reference agency (CRA) is different, which is why it is helpful to look a bit deeper into how company credit scores are put together and presented.
    Starting Price: $457.71 per month
  • 43
    AQMETRICS

    AQMETRICS

    AQMetrics

    AQMetrics is a leading provider of Software as a Service (SaaS) solutions, catering to tier-one banks, asset managers, fund administrators, and hedge funds. Our regulatory technology platform seamlessly integrates multiple data sources into a standardized 'golden data' format, simplifying the process of responding to regulatory inquiries. Through our cloud platform, AQMetrics offers simple, reliable, and cost-effective solutions for risk management and regulatory compliance. Our integrated risk and regulatory solutions enable clients to stay compliant with existing and emerging regulations.
  • 44
    BlackSwan

    BlackSwan

    FINARTIS

    BlackSwan is an asset allocation and risk management platform from FINARTIS. Providing a range of built-in risk-related analyses, including volatility analysis, allocation analysis, metric analysis, and Monte Carlo models, the solution helps users avoid extreme events through accurate distributions and cutting-edge quantitative risk metrics. BlackSwan provides superior accuracy by using non- Gaussian distributions that help optimize asset mix in times of uncertain investment environments.
  • 45
    Longview Transfer Pricing
    Longview Transfer Pricing automates and streamlines operational transfer pricing by integrating data from multiple sources into a centralized environment where data collection, allocations, segmented reporting, and profitability analysis are handled via intuitive, configurable modules. Its rules-driven engine calculates transfer price targets and adjustments at product, entity, and counterparty levels, supports intraperiod testing and goal-seek scenarios, and leverages historical data to monitor margins and ensure global compliance. Users can map intercompany transactions, define multi-dimensional segments (such as product, region, and cost center), and apply real-time currency conversions with embedded FX rate management. With dynamic dashboards, interactive visualizations, and drill-down analytics, finance and tax teams gain clear insights into pricing strategies while maintaining full audit trails and BEPS-compliant documentation.
  • 46
    Corax

    Corax

    Corax

    Justify your security budget and optimize spending by understanding what impact each cyber risk has on your financial exposure. By being able to see your true financial exposure to cyber risk, you can now determine your risk appetite and make the right informed decisions to transfer or offset each risk. See the financial risk that each 3rd party is causing you, be that an existing or potential third party, now with the financial impact cost you can control and protect your critical supply chain. With each day, our database grows by over 100,000 companies to build the world’s most comprehensive modeled view on cyber risk. Our platform not only enables you to see how you compare in your industry against your peers but also provides a customizable peer group. Born in the insurance industry, we help some of the world’s largest insurers identify risk levels and financial impact across different industry sectors and business types.
  • 47
    AML Risk Manager
    AML Risk Manager from Fiserv is the most installed anti-money laundering software available. Built on Fiserv's award-winning Financial Crime Risk Management platform, AML Risk Manager takes a transparent, data-driven, risk-based approach to optimizing AML monitoring operations. It covers the essential areas of an AML program – KYC (Know Your Customer), Detection, Case Management and Reporting. Anti-money laundering solutions from Fiserv combine industry-leading architecture, analytics and investigation tools with deep AML and financial industry knowledge to help your organization reduce risk and advance your anti-money laundering risk management program.
  • 48
    Corlytics

    Corlytics

    Corlytics

    Corlytics is a global leader in regulatory risk intelligence, helping financial institutions, regulators, and advisors manage compliance through data-driven insights. Headquartered in Dublin, Ireland, with offices in London, New York City, Boston, and Sydney, the company provides regulatory monitoring, taxonomy mapping, and advisory services to streamline compliance processes. By combining legal and regulatory expertise with advanced data analytics, Corlytics delivers actionable intelligence that enables organizations to navigate complex regulatory landscapes efficiently. With a strong focus on innovation, Corlytics continues to develop cutting-edge solutions that support financial firms in mitigating risk and ensuring regulatory compliance.
  • 49
    Corporater Business Management Platform
    Corporater enables medium and large organizations to manage their business with integrated software solutions for Governance, Performance, Risk, and Compliance (GPRC) built on the Business Management Platform. Seamlessly manage the areas of GPRC with a single tool. Gain clear view of business performance and strategy health. Keep track of inherent and residual risk values based on the accomplishment of control actions. Manage multiple regulatory compliance frameworks and regulations.
  • 50
    ResolutionPro

    ResolutionPro

    ResolutionPro

    ResolutionPro is a financial analytics library for Excel that can be used to calculate MTM and risk. Free trial available. Calculate valuations and risk characteristics for all commonly traded financial instruments including interest Rate Swap Pricing - Zero curve construction & swap valuation. Options, currency options, Equity options, Commodity options. Bond Pricing - Government & corporate bonds, and FRNs. IRO Pricing, Interest rate options, Swaptions, Caps, Floors. Exotic Options, Exotic options pricing. Utilities, accrual and data calculation, Probability & Statistics, and Rates & Discount Factors. Quick and easy derivative pricing. Perform independent valuation for trade and risk management. Incorporate derivative models into your existing systems. Run complex scenario analysis easily with Resolution's built-in Sensitivity Tool. Apply industry-standard pricing methodologies to an extensive range of instruments.
    Starting Price: $100 one-time payment