Homepage / Investor relations / Risk management framework

Risk management framework

The Group has established a risk management framework (as set out below) which is commensurate with the scale, nature and complexity of the Group’s business. The risk management framework will cover all risk disciplines across the Group, namely Compliance, Financial Crime, Operational and Financial (credit, market and liquidity).

Risk management framework

The risk management framework is linked to the Group’s business strategy through the Risk Appetite Framework and is supported by a robust Governance Structure as well as a culture of effective Risk Management. The business establishes policies to ensure all risks are appropriately and adequately managed within the Group’s Risk Appetite.

This website uses cookies to improve your experience and access our trading platform. You can manage cookies in your browser settings or continue to use the site as normal.

x