Financial cityscape

Innovate Finance with ArkBeans

The ultimate platform for 30+ risk management models, from Basel III to ESG

Key Features

Basel III Credit Risk

Regulatory compliance made easy with our comprehensive Basel III implementation.

Sensitivity Analysis

Understand financial impacts with our advanced sensitivity analysis tools.

ANOVA Analysis

Analyze portfolio variability with our powerful ANOVA implementation.

Maximum Decorrelation

Optimize your portfolio with our decorrelation algorithms for better risk management.

IFRS 9 ECL

Compliant Expected Credit Loss calculations with our IFRS 9 implementation.

ESG Integration

Incorporate environmental, social, and governance factors into your risk models.

Our Expertise

Discover the comprehensive range of financial solutions ArkBeans offers

Risk Management

Quantitative Analysis
Financial Markets and Products
Valuation and Risk Models
Market Risk Measurement and Management
Credit Risk Measurement and Management
Operational Risk and Resilience
Liquidity and Treasury Risk Measurement and Management
Risk Management and Investment Management
Financial Markets Reporting

What Our Clients Say

Sarah Johnson

CIO, Global Bank

"ArkBeans revolutionized our ESG integration! The platform's comprehensive suite of models has transformed our risk management approach."

Michael Chen

Risk Director, Investment Firm

"The Basel III implementation in ArkBeans saved us countless hours of compliance work. The interface is intuitive and the results are reliable."

Elena Rodriguez

CFO, Multinational Corporation

"ArkBeans' IFRS 9 ECL calculations have streamlined our financial reporting process. The accuracy and efficiency are unmatched."

Ready to innovate your finance strategy?

Join thousands of financial institutions that trust ArkBeans for their risk management needs.