Janne Kunnas

Senior Risk Analyst at NIB

Janne Kunnas is a Senior Risk Analyst at Nordic Investment Bank since February 2020, specializing in developing stress testing methodologies and leading the creation of internal market risk VaR-models. Previous experience includes serving as a Senior Analyst in Risk and Profitability Analytics at Nordea, where Janne led the development of a daily VaR attribution model. Academic background includes a Master of Science in Engineering Physics and Mathematics from Aalto University, complemented by a PhD candidacy at Aalto University. Prior roles at OP Financial Group involved risk management and credit risk modeling, with a strong focus on IFRS9 life-time PD modeling and market risk control.

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