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Banking and Risk Management Trends in the Eurozone for 2024

In a challenging economic environment with reduced demand for credit, banks need to strengthen their risk management tools and strategy to stay competitive

Addressing Portfolio Risk in Economic Uncertainty: Part 4 (2022)

Building portfolio risk resilience into Collections & Recovery

Addressing Portfolio Risk in Economic Uncertainty: Part 3 (2022)

Building portfolio risk resilience into customer management

How to Address Portfolio Risk Volatility Through Economic Uncertainty - Part 4

Building resilience into Collections & Recovery

How to Address Portfolio Risk Volatility Through Economic Uncertainty - Part 3

Building resilience into customer management

Fraud Strategies: The Contact-Free Dilemma

While a contact-free period makes sense from a customer experience point of view, a balance needs to be struck between this and fraud detection and prevention.

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