Andreas is a partner in our Stockholm office, specializing in finance and risk.
With extensive experience across Europe and North America, he focuses on financial risk management, driving transformative projects that enhance the resilience and effectiveness of financial institutions. He commonly leads risk management redesigns or remediation activities following market-driven events. Additionally, he focuses on risk measurement, particularly for bank capital adequacy purposes, across Nordic and European banks, as well as global capital market players.
Financial markets are moving faster and faster, making it crucial for financial institutions to be nimble and adapt to new environments. Finding the right mindset and focus for the risk organization and risk measurement will be vital to sustaining business performance
Andreas has a strong acumen for leading transformation programs in financial risk management for institutions affected by significant events such as material credit losses, unprecedented financial market movements, and commodity price shocks. His expertise extends across traditional financial institutions, including banks, exchange groups, central securities depositories, and central clearing counterparties.
Andreas holds a BSc and MSc from the Royal Institute of Technology in engineering physics and financial mathematics, with a specialization in financial mathematics from the Swiss Federal Institute of Technology in Zürich, alongside a BSc in finance from the Stockholm School of Economics.
When Andreas is off the clock, he is a self-proclaimed expert snowboarder and enjoys spending quality time with his family, including his wife, two kids, and their golden retriever, Paddington.