Summary
Jan Nordin is a Senior Business Risk Manager based in Helsinki with over 20 years of financial services experience and eight years focused on risk roles within Nordea. He combines deep trading, custody and securities reporting expertise with hands-on program leadership across SFTR, MiFID and Basel implementations. Known for building new functions and governance—he established Nordea’s Savings Information Management and pioneered the Business Analysis function for Markets—Jan excels at translating complex product and data challenges into operational solutions. His background spans front-line trading, risk advisory at KPMG and product lifecycle ownership, giving him a rare view from trading floors to regulatory delivery. Colleagues value his pragmatic, data-driven approach and track record of leading cross-border teams and agile delivery across Copenhagen, Stockholm, Mumbai and Helsinki. He brings both institutional depth and a penchant for building durable, audit-ready processes that survive regulatory stress.
8 years of coding experience
7 years of employment as a software developer
CEFA, Financial Analysis, CEFA, Financial Analysis at Hanken Svenska handelshögskolan