Risk Management and Financial Analysis

About

The Risk Management and Financial Analysis team at FINMA is responsible for identifying, assessing, and mitigating risks across various financial sectors, including banking and insurance. They employ advanced analytical techniques to evaluate liquidity, interest rate, funding, and cybersecurity risks, ensuring that Switzerland's financial markets remain stable and secure. The team also focuses on sustainability and compliance with regulatory standards, playing a critical role in protecting creditors and investors while promoting sound financial governance.