#12 Financial Market Risk during Covid19 with Jan-Peter Onstwedder

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Financial Market Risk during Covid19 with Jan-Peter Onstwedder

Risk! There’s definitely some going around at the moment, whether it’s markets, business continuity, or popping to the corner shop – risk is everywhere.

My guest today is Jan-Peter Onstwedder.

Jan-Peter has over 25 years experience in risk management across a wide variety of asset classes and global trading markets, both in a banking and a corporate environment.

Currently he works as Chief Risk and Technology Officer for Pavilion Energy, an LNG trading company in Singapore, specialising in trading liquified natural gas.

With various ‘head of’ titles, Jan-Peter has lead different aspects of management at Citi Bank, the venture capital firm 3i PLC, BP’s integrated supply and trading business, Royal Bank of Scotland, Barclays and ICE Clear Europe.

In 2007 he managed the London Accord, the then-largest ever collaborative research project into the financial aspects of climate change. He has retained an interest in alternative energy and continues to act as a reviewer and judge for the annual “Farsight Awards”, part of the City of London’s annual sustainability awards.

Jan-Peter has an MBA from the Kellogg School of Management, Northwestern University and a degree in mechanical engineering from Delft University of Technology in his native Netherlands.

I hope you enjoy the show and if you have any comments or suggestions please write to me at: tc@wickedproblems.fm.

Enjoy,

Toby


Jan-Peter’s Links

Jan-Peter’s Bio

Jan-Peter has over 25 years experience in risk management across a wide variety of asset classes and global trading markets, both in a banking and a corporate environment.

Currently he works for Pavilion Energy, an LNG trading company in Singapore, as Chief Risk and Technology Officer.

From 2011 until 2019 he was at Citi in London as head of risk management for the global commodities trading division, and as global head of credit risk for the energy and commodity portfolios.

In 2007 he managed the London Accord, the then-largest ever collaborative research project into the financial aspects of climate change. The report, published in December 2007, placed research by leading investment banks, NGOs, law firms and academic institutions into the public domain. Jan-Peter has retained an interest in alternative energy and continues to act as a reviewer and judge for the annual “Farsight Awards”, part of the City of London’s annual sustainability awards.

Until March 2011 Jan-Peter was Head of Risk Management for 3i plc, the UK private equity firm, where he was also responsible for the valuation of the unquoted investment portfolio.

From 2001 to 2006 Jan-Peter was Head of Risk for BP’s Integrated Supply and Trading business (BP’s in-house commodity and energy trading division) where he established and managed a global risk function with responsibility for market, credit and operational risk.

Prior to 2001 he worked as Head of Market Risk for the Royal Bank of Scotland, and held various risk and trading positions for Barclays Bank in London and New York.

In addition, from October 2009 until July 2011 Jan-Peter was a non-executive Director and Chair of the Energy Risk Committee for ICE Clear Europe, a UK Recognised Clearing House.

Jan-Peter has an MBA from the Kellogg School of Management, Northwestern University and a degree in mechanical engineering from Delft University of Technology in his native Netherlands.

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