Jan has a jur. kand. from Lund University and a civ.ek from the Gothenburg School of Economics. Jan has previously worked at Astra and AGA financial management within FX, interest rates and borrowing.
He has also worked at Nasdaq OMX as an option broker and also at Swedbank as risk manager for the bank's global trading, interest rates, bonds, FX, derivatives, loans and borrowing.
Jan has been system responsible for the bank's trading and risk systems, as well as responsible for the bank's regulations regarding law and agreements (ISDA, ISMA).
He has been a member of the Money Market Council, Nasdaq OMX working group regarding regulations for trading and clearing.
Adviser to the Debt Office regarding global borrowing and to corporate pension foundations regarding management and risk.
Jan has worked closely with the Riksbank on monetary policy issues.
He has experience of IAS, Basel II / III and Dodd Frank.
Jan has been CEO of AVM Stockholm, advising and fund distribution of AVM's hedge funds with a focus on credits, Fixed Income and Relative Value.
He has worked with advising institutions of complex capital and derivative transactions.