Use Case
Reduce financial exposure across your organisation
Financial risks — from market volatility and liquidity stress to counterparty exposure and FX movements — require the same structured discipline as any other risk category. Norrsent gives finance teams and risk managers the tools to identify, quantify, and monitor financial risk with the rigour that boards and regulators expect.
How Norrsent helps
Financial risk identification and scoring
Identify financial risks using AI Copilot or structured templates. Score each risk against your configured impact and likelihood scales, with optional monetary exposure values.
Key risk indicator tracking
Configure financial KRIs — liquidity ratios, credit concentrations, FX exposure, counterparty limits — and monitor them against thresholds in real time.
Mitigation planning and control assignment
Build mitigation strategies for each financial risk and assign controls with owners, testing schedules, and evidence requirements.
Executive and board reporting
Generate financial risk summaries and exposure reports tailored for CFO, Audit Committee, and Board level — always current, always auditable.
Get started
See how Norrsent manages financial risk