Andreas Jäk, M Sc, FRM, CAIA, PRM, CMT
Zürich Area, Switzerland
Banking
Education
MTA 2011 — 2012
Chartered Market Technician, CMT
PRM/PRMIA 2010 — 2010
Certified Professional Risk Manager
CAIA 2009 — 2010
CAIA
FRM/GARP 2003 — 2003
FRM
1987 — 1992
M Sc
Gymnasium Neufeld 1981 — 1985
Matura
Experience
Imberg Consulting GmbH January 2010 - Present
SAM Services FZ LLC January 2014 - Present
Sabbatical February 2009 - December 2009
FRS April 2008 - January 2009
IRIS August 2006 - March 2008
IRIS January 2005 - March 2008
IRIS July 1994 - December 2004
Swiss Volksbank August 1993 - June 1994
Swiss Volksbank October 1991 - July 1993
Swiss Volksbank July 1987 - September 1991
Skills
Analysis, Capital Markets, Ratings, Asset Management, VAR, Basel II, Venture Capital, Finance, Credit Risk, Performance Measurement, ALM, Asset Managment, Controlling, Equities, Investments, Alternative Investments, Portfolio Management, Risk, Enterprise Risk..., CVA, IFRS, Managed Futures, Commodity, Operational Risk..., IAS, Stress Testing, Hedge Accounting, Risk Management, Global Macro, Basel III, Fixed Income, Capital Management, Capital Adequacy, Market Risk, Commodities, Hedge Funds, LGD, Financial Risk, Liquidity, Regulatory Capital, RAROC, Economic Capital, Liquidity Risk, Interest Rate Risk..., Private Equity, Credit, Operational Risk, Funds Transfer Pricing, Counterparty Risk, Derivatives