Steffen Gregersen

Chief Risk Manager - Market Risk Analytics

Steffen Gregersen is a seasoned professional with extensive experience in risk management and quantitative analysis. Currently serving as the Chief Risk Manager for Market Risk Analytics at Nordea since January 2013, Steffen is responsible for the development of internal market risk models, including a focus on the FX area for the new FRTB model. Previously, as Chief Risk Manager for Desk Risk Management, Steffen built a team to enhance communication between trading desks and risk management. Prior experience includes roles as a Quantitative Analyst at Saxo Bank, where responsibilities involved building and enhancing FX option pricing models for the SaxoTrader platform and providing quantitative support across trading operations. Steffen holds a Master of Science in Mathematics and Economics from the University of Copenhagen, earned in 2006.

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