Investment and financial sector in the after-crisis period faces grounded requirements for the development of risk management system, thorough analysis of contractors and investment attractiveness of different projects.
- Analysis of contractors’ solvency and evaluation of investment attractiveness of projects;
- Determination of risks peculiar to economic activity of a particular client;
- Determination of revenue, expenses and responsibilities centres in investment projects, developments solutions for business-process optimization;
- Analysis of business relations with contractors and controlling authorities, providing “reputational picture” of the contractor.
Applying Due Diligence Review instrument allows the company to optimize and minimize risks of investment projects and financial investments, develop long-term strategy of company functioning, effectively resolve tactical financial tasks.