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RISK
MANAGEMENT

ALZYS GLOBAL MANAGES A DIVERSE ARRAY OF RISKS THAT ARE INHERENT TO THE COMPLEXITY OF OUR OPERATIONS ON A DAILY BASIS. OUR ABILITY TO MANAGE THESE RISKS IS WHAT SETS US APART AS A DEPENDABLE TRADING PARTNER OF COMMODITIES TO OUR CUSTOMERS AND ASSOCIATES.

Alzys Global has an experienced team of risk analysts and managers who oversee the group’s aggregate credit and market risk portfolio. The portfolio is diversified along industry, product and geographic lines.

Our Market Risk team is made up of experienced commodity and risk professionals deeply embedded in each business unit providing independent oversight and policy enforcement.

For 2017, our focus was on increasing effectiveness by improving process efficiency through :

- Better deployment of our internal capabilities

- Deepening our relationships with our current customers and ensuring all products have multiple customer base in each market.

- Increased focused on risk-based returns, particularly for transactions that utilize significant amounts of our balance sheet capacity.

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