Jan Tepina is a highly experienced professional in risk management, with a background in quantitative finance and actuarial sciences. Jan has held various roles in risk management at companies such as Petrol Group, Pension Fund of Credit Suisse Switzerland, and Abanka Vipa d.d. Jan has also worked as a Data Management Analyst at GEN-I, d.o.o. and as an Analyst at the same company. Jan's expertise includes market risk analysis, credit risk management, and portfolio management. Jan holds a Master of Science in Quantitative Finance from ETH Zürich and a Bachelor's degree in Banking and Financial Management from the University of Ljubljana.
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