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FIS Balance Sheet Management

Managing Balance Sheet Risk in a High Volatility World

Financial Services
Jacksonville, US
4 employees
Founded 1973
5 public signals

About FIS Balance Sheet Management

Now more than ever the stability of net interest income is vital for financial institutions. It’s crucial to develop strategies to optimize earnings, liquidity and capital, while meeting increasing regulatory demands and avoiding balance sheet surprises. With a long, proven history in risk management (we are formerly known as SUNGARD, which became the Capital Markets division of FIS in 2015). We've been helping customers solve balance sheet mgmt challenges for 30+ years. Balance Sheet Manager gives risk leadership the means needed to address these challenges. Get an eagle eye and integrated overview of your bank's key metrics, including NII/NIM, EVE, LCR/NSFR, Survival Horizon, Capital Adequacy, profitability, loss allowance forecasting and more. For more info, check out our website or email BSM@fisglobal.com

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Signals from FIS Balance Sheet Management

5 published signals

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