Andreas Ternevall, Certified FRM, ERP, currently serves as the Director of Capital Markets Investment Risk at OMERS. Prior to this role, Andreas held positions at QIC, Standard Bank Group, Thomson Reuters, Deutsche Bank, Westpac, and Standard Bank Plc in various risk management and finance roles. Andreas holds degrees in Financial Risk Management, Energy Risk Management, Investment Management, Business Administration, and Informatics from institutions such as GARP, CFA Society United Kingdom, University of Gothenburg, and Griffith University.
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