Jan Capała is the Head of Market Risk Control at Nordea, where they lead a team overseeing Trading Book and Banking Book risks. They have previously held positions as a Valuations Expert and Team Leader at various institutions, including NatWest and RBS, focusing on valuation control and market risk. Jan is currently pursuing both a Bachelor's and a Master's degree at SGH Warsaw School of Economics, demonstrating a commitment to ongoing education in the field.
This person is not in the org chart
This person is not in any teams
This person is not in any offices