Jeroen Heijneman

Senior manager Financial Risk Management Banking

KPMG Nederland

As the 2008 post-crisis reform on capital and liquidity comes to an end, banks and other financial institutions need to guard against new risks to financial stability - such as ESG risks. Jeroen closely follows these developments and helps clients with all kinds of implementation issues around credit risk, capital and liquidity management.

  • Bankensector
  • Financieel risicomanagement
  • Kapitaalmarkten
  • Investment Analysis MSc.

  • Financial Management MSc.

  • CFA Charter holder

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