What we do
What is my current exposure?
How does it break down by initiative?
What are the key open risks?
Are escalations effective?
How many issues started out as risks?
Should we have been able to see them coming?
Are we doing enough to prevent them?
Are we within budget?
What does cashflow look like?
Are our year-end targets realistic?
Do we need to re-forecast?
How long does it take to make a decision?
What is the cost of delay?
What about change control?