Risk monitoring designed for African market exposure.
AER combines country risk scores, FX and inflation pressure, debt stress, scenario impacts, alerts and committee-ready reports into a sovereign and market risk workflow.
Methodology-backed monitoring, not isolated signals.
Risk views connect to indicators, sources, analyst notes, scenarios and reports so users can understand what changed and why.
Country Risk Monitor
Composite views across sovereign, FX, inflation, debt, fiscal, external liquidity and growth categories.
Scenario Impact Engine
Stress country and sector exposure under global rates, currency, commodity, debt and climate shocks.
Risk Reports
Generate institutional reports, board packs and committee materials for decision forums.
Risk intelligence should also support institutional improvement.
For sovereigns, municipalities, SOEs and enterprises, AER links assessment weaknesses to diagnostics, evidence requirements, technical assistance notes and improvement roadmaps.
From risk finding to action
Weak reporting, debt transparency gaps, revenue quality issues or governance concerns can be converted into practical improvement actions and evidence-room requirements.