SAS Risk Management logo

SAS Risk Management

by SAS
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ActiveAvailable globallyCloudOn-premise
Quick facts
VendorSAS
Year launchedN/A
StatusActive
LocationN/A
Countries servedGlobal
Languages1
IntegrationsN/A
Free tierNO
Free trialNO
Contact salesYES

About SAS Risk Management

A suite of risk management solutions for financial institutions. It uses advanced analytics to manage credit risk, asset and liability, enterprise stress testing, and ensure regulatory compliance.

SAS Risk Management is a comprehensive suite of solutions designed for financial institutions to identify, assess, and manage various types of risk. The platform leverages SAS's advanced analytics, AI, and machine learning capabilities to address challenges in credit risk, asset and liability management, enterprise stress testing, and regulatory compliance. It provides a centralized framework for managing risk data, automating processes, and generating reports. The solutions are built on the SAS Viya platform, offering flexible deployment options including managed cloud services. While pricing is not publicly available and requires a quote, SAS provides extensive support through documentation, online communities, and training programs. The target audience includes risk analysts, compliance officers, and financial executives in the banking and insurance sectors.

Pros & Cons

Pros
  • Provides a comprehensive and integrated suite of tools for various risk management areas.
  • Leverages powerful analytics, AI, and machine learning for sophisticated risk modeling and forecasting.
  • Helps ensure compliance with major financial regulations like Basel III, IFRS 17, and CECL.
  • Offers flexible deployment options, including managed cloud services on major platforms like Azure and AWS.
  • Backed by extensive support resources, including documentation, training, and expert consulting.
Cons
  • Pricing is not publicly available and requires contacting sales for a custom quote.
  • The complexity and breadth of the solutions may present a steep learning curve for new users.
  • Primarily targeted at large financial institutions, which may make it less accessible for smaller businesses.

Features

Key features

Asset & Liability Management

Provides a centralized framework for managing balance sheets and assessing risk.

Credit Risk Management

Automates credit scoring, manages loan portfolios, and calculates expected credit loss.

Enterprise Stress Testing

Conducts comprehensive stress tests to meet regulatory requirements and inform capital planning.

Risk Governance

Establishes a transparent and auditable framework for managing models and risk data.

Insurance Risk Management

Addresses regulatory requirements like IFRS 17 and Solvency II with integrated solutions.

Additional features

Regulatory Compliance

Helps financial institutions meet requirements such as Basel III, IFRS 9, and CECL.

Model Risk Management

Manages the entire model life cycle, from development to validation and deployment.

Data Management

Integrates and governs risk data from across the enterprise for a unified view.

Advanced Analytics

Utilizes AI and machine learning for sophisticated risk analysis and forecasting.

Cloud-Ready Deployment

Offers flexible deployment options, including managed cloud services on Azure and AWS.

Pricing

Free trial
Free version
Request a quote
Promo Offer

Countries & Languages

Global
Countries served
1
Interface languages
—
Billing currencies

Interface languages

English

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