Fredrik’s core area of expertise is within financial risk management, capital adequacy and financial regulation. In these areas he regularly help retail- and investment banks, insurance companies, asset management firms and payment companies.
Fredrik is analytical, driven and structured. He is a solid communicator and has extensive commercial understanding. He is motivated by delivering tangible value to customers and building long lasting relationships.
Fredrik holds a MSc in B. A. & Economics from Uppsala University. He also regularly give lectures on risk management at Stockholm School of Economics, Executive Education.