Origin has entered into agreement with a global financial services practice for risk and collateral management.
This strategic initiative is intended to drive competitive advantage to sharpen our focus to support a sound risk culture that emphasises effective, transparent and provable control frameworks and common metrics.
Multi-currency collateral management is now an integral part of Origin overall risk management. Having this complete understanding of risk is key to optimizing our collateral portfolio. This approach is envisaged to help us achieve more accurate and comprehensive risk reporting, better hedging and improved returns.
Consistent, arbitrage-free view of risk, enables a precise understanding of our exposure, empowering our strategic approach to formulate the most cost-effective hedging and collateral management strategies.