M. I. is an experienced corporate lawyer who specializes in Swedish and EU banking and securities regulations. They have held significant leadership roles, including Head of Compliance for the Business and Retail Banking Division at SEB, where they previously served as a Compliance Officer and Team Lead for Group Compliance. M. I. completed an LL.M in law and a Bachelor's in Business Administration from Lund University, along with an International Programme in Business Law at Bucerius Law School. In 2022, they participated in the Changing Employee Behaviour Program at IMD.
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