For a medium-sized retail and corporate bank, Mploy Associates has played an important role in the sourcing of all balance sheet items to the risk management system.
The main aim of this exercise was to generate the complete contractual and behavioral cash flow calendars on a daily basis for ALM and Treasury management.
Interested in our way of working? Please contact us for a further introduction: +316 832 319 21 or firstname.lastname@example.org. We are happy to explain why we are just a bit different. Why we are able to make that extra step.