Ragan V. is a seasoned risk management professional with extensive experience in asset and liability management. Currently serving as a Risk Manager at NWB Bank since January 2019, responsibilities include managing ALM risk and contributing to supervisory reports, implementing EBA interest rate risk management guidelines, and executing stress tests. Previous roles include Risk Manager at Generali Nederland N.V., where Ragan implemented Solvency II models and capital adequacy reporting, and Risk Manager for Stichting Pensioenfonds IBM Nederland, focusing on pension fund risk models. Additional experience encompasses positions at AEGON Nederland NV, AMB Generali Holding, and Generali verzekeringsgroep nv, where Ragan developed risk management processes, investment controlling, and asset-liability management. Ragan holds multiple advanced degrees in econometrics, financial analysis, and actuarial science from prestigious institutions.
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