Janne Väisänen

Head Of Market Risk at Danske Commodities

Janne Väisänen has a diverse work experience spanning multiple industries and roles. From 2020 to the present, they have been the Head of Market Risk at Danske Commodities. Prior to that, they worked as a Senior Compliance Officer at Nordea from 2019 to 2020. From 2015 to 2018, they were a Risk Manager at Eesti Energia. Before that, they held various positions at Danske Commodities, including Country Manager and Senior Market Risk Analyst, from 2013 to 2015. Janne started their career at Fortum as a Portfolio Analyst from 2009 to 2012, and then moved to Nordea as an Investment Specialist from 2007 to 2009. In 2006, they worked as an Investment Advisor at Pohjola Bank Plc.

Janne Väisänen completed their education from 2001 to 2007 at the University of Tampere 1925-2018. Janne obtained a Master of Science degree in Economics and Finance. In addition to their degree, Janne also holds certifications including the ICA International Diploma in Governance, Risk and Compliance from the International Compliance Association. Their other certifications include CEFA from EFFAS - The European Federation of Financial Analysts Societies, and they have completed the Data Analyst with Python Track as well as the Python Programmer Track from DataCamp. The obtained months and years for the additional certifications are not provided.

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