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About Mark Kandborg
https://www.nordea.com/en/
Mark Kandborg, Senior Financial Executive with a long and proven track record of management of profitable business across financial risks, balance sheets and pension risks within Finance and Treasury of a systemic important financial institution. Recent years dedicated focus have been on the transitioning of Nordea as a Nordic banking group into the Banking union and SSM supervision.
Strong financial and macroeconomic background and 25 years of experience with managing and optimising market risk, liquidity, funding and capital including regulatory interaction. A strong decision maker and experienced advisor to the executive management body through Group Executive Management and Board meetings. Experienced external speaker. Board member of Nordea Life Holding.
Specialties: Balance sheet optimisation and financial resource management, Investment and financial risk management, Funds transfer pricing, capital optimisation and allocation, liquidity risk management, IRRBB, LCR, NSFR, Securitisation, Solvency II, IFRS9, Basel III, IV, BRRD2 and CRD V
Group Treasury & Asset and Liability Management is responsible for Nordea’s treasury operations and asset and liability management, including capital, liquidity, funding and structural and strategic market risks on the Groups balance sheet. The aim is to ensure a strong, sustainable, profitable and regulatory compliant balance sheet while enabling Business Areas’ ability to serve customers competitively.
Mark Kandborg has an educational background as an economist from the University of Copenhagen and as Captain in the Danish Army.