Global Risk Management (GRM)
Carsten Larsen is a seasoned finance professional with extensive experience in risk management and corporate banking, currently serving as Senior Energy Risk Manager at Global Risk Management since May 2023. Prior to this role, Carsten spent nearly four decades at Danske Bank, concluding a notable tenure as Senior Vice President in Large Corporates & Institutions, where responsibilities included managing large international clients and leading virtual customer teams. Carsten's career also encompassed various leadership positions, such as First Vice President in Corporate & Institutional Banking and Debt Capital Markets, with significant contributions to corporate banking in Germany and the Nordic region. Educational qualifications include a graduate degree in Banking and various levels of banking education completed between 1985 and 1989.
Global Risk Management (GRM)
Global Risk Management is a leading provider of customised hedging solutions for the management of price risk on energy expenses. Combining in-depth knowledge of the oil market, finance and transport, we help clients protect their margins from the risk posed by notoriously volatile energy prices. Events around the world – financial, geopolitical or fundamental factors affect fuel prices. If you cannot pass energy price increases on to others, then you have an exposure you need to eliminate. Cap this exposure with energy price risk management. And turn volatility into security. Note that from 3 January 2018 the company name has changed to Global Risk Management Fondsmaeglerselskab (Danish term for investment firm) for the Danish part of the group as we have obtained license from the Danish FSA. The company name in Singapore is Global Risk Management Pte. Ltd. from the same date. No changes in employees, telephone numbers or e-mail addresses.