Aligning Risk and Finance in Banks: From Theory to Practice

For many years, banks have considered pursuing a greater alignment and integration of their risk and finance functions, often encouraged by regulators, consultants, and shareholders. However, projects to reach this goal inevitably fell short and were abandoned because of a lack of commitment or substantial barriers that made the benefits not worth the cost.

To understand the problems that banks are facing, their aims for risk and finance integration, and their technology needs, SAP commissioned Chartis Research to carry out a survey of risk and finance professionals on this subject.

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