2013: Danske Bank, Group Treasury, Risk and Structure (Creating IRR transfers, limit responsibilities, Danske Bank plc. ALCO advisor, EBF IRRBB WG member) 2010-2013: Danske Bank Markets, Complex Risk. (Structuring of derivatives and product approvals) 2007-2010: Danske Bank Markets, Derivatives Research (Research on various asset classes and wrappings) 1999-2007: Nordea Markets, Research (Research on primarily Danish Mortgage Bonds, Inflation Linked Bonds and Interest rate derivatives, but also FX and Credit Risk). Affiliated University of Copenhagen Institute of Economics as Associate Professor. Examiner in Economics at the Universities in Denmark. M.Sc. (Economics) 2001, from University of Copenhagen