If you need more lookups,
subscriptions start at $34 USD/month.
Peter van de Ven Location
Utrecht, Netherlands
Peter van de Ven Work
2016 -now Risk manager ALM @
2014 -2016 Team Lead Domestic Credit Modelling @
2011 -2014 Team Lead Economic Capital Modelling @
2005 -2011 Economic Capital Modeller @
1997 -2001 PHD student @
Peter van de Ven Education
GARP
FRM (Financial Risk Management)
2009-2009
Universiteit Utrecht
PHD (Physics)
1997-2001
Technische Universiteit Eindhoven
Master (Physics)
1990-1996
Peter van de Ven Skills
Basel II
Economic Capital
Financial Risk
Quantitative Finance
Derivatives
Financial Markets
Operational Risk
Risk Management
Analysis
Banking
ALM
Solvency II
Credit Risk
Market Risk
Operational Risk Management
Economics
Data Analysis
Public Speaking
Research
Social Media
Strategic Planning
Peter van de Ven Summary
Peter van de Ven, based in Utrecht, Netherlands, is currently a Risk manager ALM at Rabobank. Peter van de Ven brings experience from previous roles at Rabobank and Universiteit Utrecht. Peter van de Ven holds a 2009 - 2009 FRM in Financial Risk Management @ GARP. With a robust skill set that includes Basel II, Economic Capital, Financial Risk, Quantitative Finance, Derivatives and more. Peter van de Ven has 3 emails on RocketReach.
Looking for a different Peter van de Ven?
Find contact details for 700 million professionals.