Clients benefit from our tested, proprietary methodology to quantify the relative risks associated with their exposures to improve decision-making for cash, near-cash, and fixed income investment.
We ensure clients achieve the best outcome for their specific needs, no matter the level of complexity. With our independent expertise, we help clients design an investment strategy, review cash and counterparty risk exposure, and manage or mitigate risks.
1. Treasury investment policy review or design
2. Counterparty credit risk review & ongoing monitoring
3. Manager appointment and segregated mandates
4. Portfolio analysis and benchmarking
Managing Director, Investment Services, PwC Cyprus