Jan Mark Sørensen
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Jan Mark Sørensen Email & Phone Number

Manager, Risk Modelling and Development at Jyske Finans
Location: Central Denmark Region, Denmark 12 work roles 6 schools
1 work email found @jyskebank.dk LinkedIn matched
✓ Verified August 2026 4 data sources Profile completeness 100%

Contact Signals · 1 work email

Work email j****@jyskebank.dk
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Current company
Role
Manager, Risk Modelling and Development
Location
Central Denmark Region, Denmark
Company size

Who is Jan Mark Sørensen? Overview

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Quick answer

Jan Mark Sørensen is listed as Manager, Risk Modelling and Development at Jyske Finans, a with 190 employees, based in Central Denmark Region, Denmark. AeroLeads shows a work email signal at jyskebank.dk and a matched LinkedIn profile for Jan Mark Sørensen.

Jan Mark Sørensen previously worked as Lead Quantitative Analyst at Jyske Finans and Head of Credit Risk Modelling at Jyske Bank. Jan Mark Sørensen holds Pon - Program On Negotiation from Harvard Law School.

Company email context

Email format at Jyske Finans

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{first}@jyskebank.dk
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AeroLeads found 1 current-domain work email signal for Jan Mark Sørensen. Compare company email patterns before reaching out.

Profile bio

About Jan Mark Sørensen

Head of Division - Risk and Markets in the financial industry. Focus on leading analysts and researchers. Interested in corporate leadership/management and strategic decision making.Specialties: Management and Leadership, Analytics, Risk management, Modelling

Listed skills include Financial Modeling, Credit Risk, Analytics, Financial Risk, and 12 others.

Current workplace

Jan Mark Sørensen's current company

Company context helps verify the profile and gives searchers a useful next step.

Jyske Finans
Jyske Finans
Manager, Risk Modelling and Development
Egtved, DK
Website
Employees
190
AeroLeads page
12 roles

Jan Mark Sørensen work experience

A career timeline built from the work history available for this profile.

Manager, Risk Modelling And Development

Egtved, Dk

Lead Quantitative Analyst

Current

Silkeborg, Middle Jutland, Denmark

Nov 2023 - Present

Head Of Credit Risk Modelling

Current

Silkeborg, Middle Jutland, Denmark

Credit Risk Modelling for Own Funds and IFRS9.

Nov 2019 - Present

Head Of Risk And Markets

Denmark

Aug 2017 - Nov 2019

Head Of Risk Management

Silkeborg, Denmark

Risk analytics for senior and executive management. Risk management and risk based pricing systems for operational decision making and external risk reporting.Strategic and tactical decisions. Leadership. Steering committees. Management reporting.

Aug 2015 - Aug 2017

Head Of Quantitative Research And Analytics

Risk models and analytical models for CRM and sales applications. The risk models are used for pricing financial and banking products as well as AIRB Basel III compliance. The analytical models are used for improving marketing and sales activities as well as customer retention.Primary goal is to facilitate and motivate sustainable high performance and job satisfaction in the group of highly skilled professional analysts.

Dec 2006 - Aug 2015

Team Manager, Quantitative Research

The team models key credit risk parameters, i.e. PD, LGD and EAD. The parameters are used for economic capital and regulatory capital.

Mar 2005 - Dec 2006

Analyst

Creditscoring and modeling the probability of default (PD).

Aug 2001 - Mar 2005

Trader

Trading corporate bonds and emerging market bonds in Jyske Markets.

Sep 2000 - Aug 2001

Lecturer In Empirical Financial Models

Lecturer in Empirical Financial Models, which is a course for part time students. The curriculum included empirical estimation of specific financial and economic models.

Sep 2002 - Jun 2004

Student Instructor In Business Statistics

Student Instructor in undergraduate Business Statistics.

Jan 1998 - Aug 2000

Research Assistant

Research assistant with the MAPP consumer research project with the Dept. of Statistics. The work involved construction of questionnaries, sampling and presentation of results to customers.

Jan 1998 - Jan 1999
Team & coworkers

Colleagues at Jyske Finans

Other employees you can reach at jyskefinans.dk. View company contacts for 190 employees →

6 education records

Jan Mark Sørensen education

Program On Leadership

Pathfinder

Msc, Finance

Fall term of 1999 I studied at Royal Melbourne Institute of Technology.

Bsc, Business Administration

Fall term of 1997 I studied at Oregon State University.

Hh, Business And Economics

Handelsskolen I Randers
FAQ

Frequently asked questions about Jan Mark Sørensen

Quick answers generated from the profile data available on this page.

What company does Jan Mark Sørensen work for?

Jan Mark Sørensen works for Jyske Finans.

What is Jan Mark Sørensen's role at Jyske Finans?

Jan Mark Sørensen is listed as Manager, Risk Modelling and Development at Jyske Finans.

What is Jan Mark Sørensen's email address?

AeroLeads has found 1 work email signal at @jyskebank.dk for Jan Mark Sørensen at Jyske Finans.

Where is Jan Mark Sørensen based?

Jan Mark Sørensen is based in Central Denmark Region, Denmark while working with Jyske Finans.

What companies has Jan Mark Sørensen worked for?

Jan Mark Sørensen has worked for Jyske Finans, Jyske Bank, and Aarhus School Of Business.

Who are Jan Mark Sørensen's colleagues at Jyske Finans?

Jan Mark Sørensen's colleagues at Jyske Finans include Lars Mørup, Troels Bundgaard Pedersen, Lena Kofoed, Marianne Fredslund Jensen, and Marianne Jensen-Lyngå.

How can I contact Jan Mark Sørensen?

You can use AeroLeads to view verified contact signals for Jan Mark Sørensen at Jyske Finans, including work email, phone, and LinkedIn data when available.

What schools did Jan Mark Sørensen attend?

Jan Mark Sørensen holds Pon - Program On Negotiation from Harvard Law School.

What skills is Jan Mark Sørensen known for?

Jan Mark Sørensen is listed with skills including Financial Modeling, Credit Risk, Analytics, Financial Risk, Banking, Management, Analysis, and Strategy.

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