Kristoffer V. is a finance professional with ten years of industry experience, specializing in derivatives risk and valuations for FX, Rates, and Commodities. They have held roles such as Valuation Specialist at RBC and Citi, and currently serve as Director of Risk Management at Marex, overseeing the clearing risk management function in the APAC region. Kristoffer has extensive knowledge of financial markets, regulatory requirements, and various asset classes, having advised on trade structures and optimized portfolios in previous positions. They earned dual Bachelor’s degrees in Commerce and Business Management from the University of Queensland.
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