The risk management area of FINAXIS Group has adhered best market policies and is in line with the guidelines set by the Central Bank and compatible with the complexity of the Conglomerate.
Policies and procedures where established along with models and systems of risk management capable of managing, evaluating and mitigating the risks inherent to its business, providing the Executive Board an overview of all the risks that have been established.
The risk management policies of FINAXIS Group are intended to support the formulation of risk appetite, to guide employees and to provide procedures to monitor, track, measure and report risks to the Executive Board and the Board of Directors. The Conglomerate FINAXIS regularly revises and updates its policies and risk management systems to reflect changes in markets and products and driving best practices.
Further information on risk management download the reports in the portuguese version here.