Financial Risk Management
In the financial services sector, there’s great potential for risk, be it operational, legal and regulatory, financial, information, strategic or personnel. How can you understand the trends and anticipate the impact of change? Financial risk management services support and mitigate these complexities.
Specialized Risk Management for Financial Institutions
Aon invests in the latest tools and analytics to understand, forecast and address your emerging risks. Our flexible and creative financial risk management strategy will address and adapt to your changing global and local needs.
Aon’s value-driven approach
Aon starts by investigating your exposures, claims and programs to identify your key risks and policy needs. Using innovative, proprietary risk modeling and analytic tools, we measure your exposure and plan an insurance mitigation strategy. We also consider your risk appetite, identify potential risk scenarios and select appropriate enterprise level risk response solutions, before defining metrics and implementing monitoring tools. We then continually evaluate the effectiveness of our solution.
Why Aon Financial Institutions?
Our network can provide you with seamless service around the world. Our dedicated 1,400 Financial Institutions experts bring industry knowledge in banking, insurance companies, asset management, and real estate; and product expertise in Executive Risk, Property & Casualty, Financial & Litigation, Environmental, Technology, Benefits, Security, Privacy, Media Liability, Technology E&O and Enterprise Risk Management.
It’s no wonder Aon is the leading Financial Institutions risk broker. Our clients include:
- 94 percent of top 50 global banks
- 100 percent of top 10 global insurers
- 100 percent of top 10 P&C insurers
- 90 percent of top 10 Life & Health insurers
- 50 percent of the top 10 Asset Managers