Guest post by
Vandana Vasudev Nayak, Consultant, Infosys
In today's global financial markets, financial institutions are hard pressed to monitor and analyze performance data from multiple sources. More essentially, the challenge lies in generating a combined view of risk and performance. The outlook of Financial Institutions in evaluation of performance is changing; both financial and non-financial aspects like risk are in focus. Financial Institutions are looking for a strong basis and approach that can drive performance smoothly with due consideration to associated risk factors.