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Jan-Peter’s background is the management of
market and credit risk in trading businesses in energy and commodities, foreign
exchange, interest rates and fixed income, equities and metals, and structured
derivatives. He has built and led risk management functions globally for
BP, the Royal Bank of Scotland, Barclays and Citibank.
Through his work JP has gained extensive experience in evaluation and decision
making on structured transactions including asset-backed finance, leveraged
investments, and long dated commodity supply and offtake agreements. He
has a long history of engagement with central banks and regulators in Europe and
the USA on risk management and reporting issues, working on the market risk
amendment to the original capital adequacy accord, and on ‘Basel 2’.
Through his work as project director of
The London Accord, the largest
collaborative research project in the investment for climate change, Jan-Peter
has developed a sound understanding of climate science, options for adaptation
and mitigation and their impact on finance and industry.
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