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      I bring over 30 years of professional experience, including almost 10 years as a trader at a major Belgian bank and over 20 years as a consultant at KPMG Advisory. As a partner leading the Financial Risk Management division, I possess extensive knowledge of risk management practices (credit, market, and operational risk), core banking processes (investments, credits), financial instruments valuation/accounting, compliance, internal audit, and Financial Sector Regulation. My clients include Tier 1 banks (in Belgium and abroad), major market infrastructure players, and smaller niche players.

      1. Education & qualification

        Master in Applied Economics, KU Leuven

        Master in Business Administration, KU Leuven