Mosaik Analytics is a data, risk and analytics firm that offers product-based solutions, in addition to our value-add consulting services, enabling our clients to respond to and capitalize from risk events. The team at Mosaik synthesize their collective knowledge of data, technology, risk, controls and industry expertise in establishing frameworks and improving your organisation's ability to identify, respond to and mitigate risk events.
The core team of Mosaik includes experienced global professionals who have worked with leading professional services firms in Asia, US, Europe and Africa.
The advisory board comprises of luminaries of banking and finance, highly respected entrepreneurs and senior investigative professionals.
The story behind Mosaik
In finance, mosaic theory is an approach to financial security analysis that involves the analysis of a variety of resources, including public and non-public material and non-material information, to determine the underlying value of a security.
At Mosaik, our strength lies in transforming data to information, and information to insights. Just like a mosaic, we believe that when data from multiple sources and of varying nature is put together in the right order, it paints a picture that would have escaped your eyes when fragmented.
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for credit risk monitoring

services for lenders
