Different portfolios. The same need for traceable analytics.
Only sectors supported by meaningful source experience are presented. Each context changes the data, method and governance question.
Banks
Banks need risk estimates that connect portfolio data, approved methodology, regulatory use and repeatable implementation. The work can span development, independent challenge, automation and documentation.
02Consumer finance
Consumer finance portfolios create high-volume parameter, staging and calculation requirements. Consistent data rules and repeatable implementation are central to usable analytics.
03Insurers
The source verifies work with insurers and IFRS 17 vendor benchmarking. This page deliberately avoids implying actuarial sign-off or unverified end-to-end actuarial delivery.
04Financial services
Finance companies and other regulated organisations often need targeted support that connects risk methods, data processes and decision evidence without creating an oversized programme.
Tell me what needs to run reliably.
A short brief is enough to establish whether this is a fit. Describe the situation in general terms only. Do not send client data or model files.