"RISKFIN" is a key player on the Russian market of software programs to provide basic needs of business for automation of the analytical work and risk management of financial and non-financial organizations. The company develops software for financial analysis, assessment, forecasting and stress testing of various types of risk - credit, market, operational, liquidity risks.
Risk can not be avoided, but it can be controlled. And in terms of the need to process huge amounts of data, constant changes in legislation and methods of evaluation of such control it is not possible to survive without the use of modern, flexible custom tools. "RISKFIN" offers such solutions both universal and customized.


The software package "RISKFIN. Prof" – is a universal information system of the integrated economic and financial analysis and risk management. PC "RISKFIN. Prof" is used to evaluate credit, interest rate, currency, equity and liquidity risks, as well as country, industry, legal, reputational and operational risks. This is analysis tool for evaluating efficiency, quality of management, financial stability and solvency.
PC "RISKFIN. Prof" is in demand in banks, insurance and investment companies, pension funds, as well as large holdings, and state-owned companies in the industry. Users of PC "RISKFIN. Prof" are financial analysts and risk managers, planning and economic departments, experts in working with securities and investments, internal controllers and auditors, as well as CFOs and CEOs.



Release dated 27/09/2019

Dear Users and Partners!

"RISKFIN" company informs you about the update of software package “RISKFIN. Prof." dated 30/17/2019.

A complete list of update changes is presented in the subsection New in Releases.

You can download the updated version of “RISKFIN. Prof” in the subsection Updates.