Deep understanding of the derivative marketplace
Reval’s financial engineers and product experts are steeped in the intricacies that come with managing derivative instruments. We handle financial asset classes that span IR, FX, credit, and commodities that include energy, metals, and agriculture.
Leveraging our derivative prowess, Reval provides robust risk management tools to perform the critical functions around managing derivatives and mitigating financial risk.
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Clear cut focus on managing financial risk across the enterprise
Reval's efforts focus on combining risk expertise and technology to automate and support all stages of the financial risk management process, across all asset classes, from exposure capture through hedge accounting and performance measurement, for corporations and financial institutions around the globe.
This approach allows us to partner with clients to deeply support their activities across the key stages of derivative usage to manage and mitigate financial risk to deliver strategic business objectives.
Demonstrated expertise in best practice hedging strategies and hedge accounting
Reval is proud to have among its clients some of the world’s premier accounting firms, which rely upon our specialized hedge accounting experts. They recognize our deep understanding of ASC 815(FAS 133), ASC 820 (FAS 157), ASC 815-10 (FAS 161), IAS 39, IFRS 7, AS 30/32, BilMoG and more.
Because of this expertise, some of the most prestigious and most successful multinational companies and financial institutions have also chosen Reval to provide solutions that help them achieve best practice hedging strategies to manage and mitigate risk.
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Proven world-class Software-as-a-Service technology
Reval provides a single version software platform that allows clients to manage their hedge accounting using a Web browser. We use the latest in service-oriented architecture and maintain industry proven security such as 128-bit SSL encryption and strong authentication methods. We also comply with stringent SAS 70 Type II auditing requirements.
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Our expertise in each of these areas allow us to address six key concerns facing companies like yours:
- Exposure identification and quantification:
We help you to capture and analyze your exposures from a business unit and corporate level so you can make hedging and risk decisions with the best available information.
- Implementation and execution of hedging strategies:
We provide a critical array of tools that allow you to execute hedging strategies – from capture of derivative transactions through all stages of trade execution and confirmation.
- Regulatory compliance:
We help you minimize the risk of financial restatement resulting from auditors questioning your valuation of derivatives or hedge accounting and documentation.
- Independent market data:
We provide market data that enables you to use an independent source to value and account for your derivatives.
- P&L volatility:
We provide derivative risk management tools that allow you to better manage your hedging program and minimize its effect on your bottom line.
- Strategy evaluation and reporting:
We allow you integrate forecasts and exposures amongst business units to report to the board on the performance of your hedging strategy.
- Cost and productivity:
We deliver a proven, cost-effective solution that replaces error-prone spreadsheets and integrates with other financial systems to automate the handling of your derivative portfolio and gives you the ability to close your books on the first day of the month.