Corporate Risk Management
CORPORATE RISK MANAGEMENT
How is corporate risk management carried out at Grupo Aval?
At Grupo Aval, the management and analysis of financial risks are fundamental pillars for the sustainability and strength of our businesses. We have a robust and specialized structure that, both at the corporate level and within each of our subsidiaries, ensures a comprehensive and consistent approach aligned with the Group’s strategic objectives.
Grupo Aval’s management model integrates financial and non-financial risks, based on a clearly defined risk appetite. It also incorporates ongoing monitoring of the economic, financial, and regulatory environment, promoting a corporate culture based on ethics, integrity, and transparency.
Grupo Aval's governance structure actively supports financial risk management by clearly defining the roles, responsibilities and oversight mechanisms needed to ensure consistent management perfectly aligned with our corporate strategy.

*The scope of entities involved in risk and compliance management varies according to the Management System or Program.
Grupo Aval's financial risk management model integrates key policies, methodologies and tools for the identification, measurement, monitoring and control of these risks, covering both the corporate level and each of its subsidiaries.
Through its specialized area, the Group contributes to building a solid risk management and compliance architecture. This allows for a comprehensive, panoramic view of the risk scenarios faced by both the Business Group and its member entities.

Grupo Aval’s financial risk management framework integrates policies, methodologies, and tools for the identification, measurement, monitoring, and control of risks, both at the corporate level and across each of its subsidiaries.