FERNBACH Logo
  • Language
  • English
  • Central Europe
  • Eastern Europe
  • Luxembourg
  • Belgium and Netherlands
  • DACH
  • UK and Nordics
  • USA
  • South America
  • APAC
  • Africa and Middle East
  • Rest of World
  • STANDARD
  • United States
  • Home
  • | Company
  • | Products
  • | News & Events
  • | Partners
  • | References
  • | Careers
  • | Contact
  • Vision and Strategy
  • Contact
  • Management
  • IFRS & Multi-GAAP
  • Risk & Liquidity
  • Compliance

IFRS & Multi-GAAP

FlexFinance helps banks to overcome the challenge of combining national and international accounting standards.

Risk & Liquidity

By enabling sustainable risk limitation as well as comprehensive risk management, FlexFinance makes it possible to establish a stable risk infrastructure.

Compliance

FlexFinance enables the fulfillment of not only national but also of global regulatory obligations.

FlexFinance Analytix

The FlexFinance Analytix library includes models for a diverse range of issues such as: Credit Portfolio Model, Aggregation of Economic Capital, Historical Value at Risk Model, Monte Carlo Simulation, Stress Testing and Credit Pricing.

News

02.12.2009 | FERNBACH wins Banking & Finance ICT Innovation Award once again in 2009  

20.10.2009 | Every third bank in Germany unsatisfied with their IFRS accounting solutions - too expensive and inefficient

Events

Training | IFRS Boot Camp: Business Case Implementation - Basic Deal types

Video

Vision & Mission Statement
Günther Fernbach, CEO

Spotlight

Solve the Challenges of the Mixed Model Approach with Hedge Management

© FERNBACH 2010