Projects

Strengthening Credit Risk Practices for Lending to Financial Institutions

Banco Atlántida Group

Delivery of a capacity building program for four banks members of the Atlantida Group, in Honduras, Nicaragua, El Salvador and Panama. Over several days, the assignment brought together around 40 banking professionals and senior managers around practical approaches to lending to financial institutions, with a particular focus on institutions serving MSMEs. The program covered credit analysis, risk assessment and portfolio monitoring, combining technical content with exchange of practices across the participating banks.

Due diligence of AGIF II

Swiss Agency for Development and Cooperation

Tripact Advisory has conducted a comprehensive external due diligence of the TLG Africa Growth Impact Fund II (AGIF II) on behalf of the Swiss Agency for Development and Cooperation (SDC). Tripact delivered a consolidated risk & impact assessment with actionable recommendations to support SDC’s investment decision-making.

Development of a Strategy for the AATIF Technical Assistance Facility

CFC

Supporting CFC, the Technical Assistance Facility (TAF) Manager, in evaluating and developing a comprehensive 5-year TAF strategy (2025-2029) for the Africa Agriculture and Trade Investment Fund (AATIF) TAF that aligns fully with the fund’s investment strategy. The Fund is managed by Cygma Capital.

Evaluation of the SDG Frontier Fund

BIO

Selected by BIO, the Belgian DFI, to conduct a mid-term external evaluation of the SDG Frontier Fund with a view on a potential subsequent fund. The Fund of Funds has been established in 2019 to mobilize private capital towards private sector in emerging countries. The fund has invested in 12 impact funds, and has already indirectly supported more than 100 SMEs in Asia and Africa with long term financing along the process.

Interim Credit Analyst Assignment for a European DFI

European DFI

Acting as Interim Senior Credit Officer, the 8-month missions (2025 and 2026) involve managing credit risk by aligning exposures with institutional standards while enabling sound equity and debt transactions in frontier markets. Balancing risk and return, advising investment teams, and applying deep knowledge across financial products: loans, mezzanine, and equity, through top analytical and communication skills.