Jørgen Mehr is a seasoned risk analyst with extensive experience in financial institutions. Currently, Jørgen is employed at GF Forsikring, focusing on risk calculation and adherence to solvency II requirements while automating processes. Prior to this role, Jørgen served as a credit model analyst at Spar Nord, developing models for advanced IRB compliance. Jørgen also held positions as an analyst at 3C Retail, specializing in PD model optimization, and as a credit risk specialist at Nykredit, where Jørgen managed big data statistical analysis and LGD development. Earlier experiences include a role as an assistant equity analyst at Jyske Bank, providing financial analysis for key banking institutions, and as an instructor at the University of Southern Denmark, teaching finance courses. Jørgen holds a Master's Degree in Economics and Finance and a Bachelor's Degree in Finance from the University of Southern Denmark.
Sign up to view 0 direct reports
Get started