Services
Assessment of ESG
management

Approach and tools:


Diagnostics of the existing ESG system:
  • analysis of internal policies, procedures, strategies and KPIs related to sustainable finance and risk management
  • assessment of non-financial reporting, corporate communications and public ESG commitments (including Net Zero)
Verification of compliance with international standards and practices:
  • GRI, SASB, TCFD, ISSB/IFRS S1–S2, ESRS
  • sector-specific standards: PCAF, NZBA, PRI
  • ISO 14001, ISO 45001, ISO 9001
  • UN Global Compact Principles, UN Sustainable Development Goals
Comparison with ESG rating agency methodologies:
  • S&P Global ESG, MSCI ESG Ratings, Moody’s, ESG Fitch, Sustainalytics
Stakeholder engagement:
  • interviews and surveys with Board members, risk managers, compliance and business units
  • identification of expectations of investors, regulators and clients
ESG risk assessment:
  • analysis of the impact of climate and social risks on credit portfolios and investment decisions
  • definition of priority management areas, including compliance and risk appetite

Results:


  • Objective assessment of the bank’s ESG practices maturity across the E, S and G pillars.
  • Roadmap for integrating ESG into strategy, risk management systems and compliance processes.
  • Recommendations on non-financial disclosure in line with international standards and investor expectations.
  • Practical proposals for managing ESG and climate risks at the level of credit and investment policy.
  • Increased trust from investors, regulators and clients.