Rikard Andersson work email
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Rikard Andersson personal email
Knowledgeable interim manager and consultant with broad competence for assignments in the financial sector. Combines high engagement with an analytical approach. Has more than 25 years of experience from investment management and fund company operations.INTERIM MANAGER• For investment team covering both equities and fixed income at mid-sized fund company.• For smaller investment team at fund company.PROJECT MANAGER• Creation and implemenation of new operational and legal structure for fund company.• Change program for core functions in financial organisation.• Procurment and implemenation of new Treasury system and processes large listed construction company.• Buildup of new investment capability and attached processes.• Project steering of front office & risk system and process development in multiple countries.BOARDS• Non-executive board member in two boards for professional investment organizations.• Chairman in scale-up company in reg/fin-tech areaMANAGEMENT & LEADERSHIP• Broad experience from management work, formulating vision & strategy, and communication. • Used to goal setting, follow up, coaching and challenging for next step. • Business area head for 12 years and Team head for 3 years with up to 35 FTE’s. BUSINESS & OPERATIONAL DEVELOPMENT• Founded investment teams for active quantitative and index management within investment organization.• Comprehensive knowledge about operational processes and structures in investment organizations. • Excellent holistic and detailed understanding of each functional part in investment structures and organisations. BUSINESS CONTROL• Build-up of business control function in financial organization.• Combines comprehensive business knowledge with financial & operational data.LEGISLATION/COMPLIANCE• Developed mutual funds business within complex legislation in multiple countries.• Analyzed and implemented new legal directives such as MiFID II, EMIR and UCITS.PERSONAL CHARACTERISTICS• Structured• Solutions oriented• Analytical• Engaged• High work capacity• Supportive & fun to work with
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VdRuth Asset ManagementStockholm County, Sweden -
Interim And Project ManagerRubify Ab Apr 2020 - PresentStockholm, SverigeInterim roles and Project management in the financial sector.Interim - Interim manager with analytical mindset and professional acting- Adaptive and solutions oriented as person- Has more than 25 years of experience from the financial sector- Specialized in investment management and fund company operations- Can manage both coworkers and managers- Vast experience from management work at various levels – from Business Area Head to Team Manager- Holistic competence to be applied in complex operations and processes.Projects- Project manager for developments ranging from system evaluation & exchange, introduction of new operational capability & processes, to cross-countries change of operational & legal structure- Project parts like pre-study, RFI, RFP, to implementation, evaluation & learnings- Financial processes, data flows, systems, risk management, products, strategy, & life cycle management- Development of organization from strategy to impact on roles, responsibilities, and employees- Enhances cooperation’s within or between organizations & teams- Achieves increased client satisfaction, efficiency, productivity, and/or specialization.Visit the website of Rubify for more information at https://www.rubify.se -
Non Executive Board MemberAndra Ap-Fonden (Ap2) May 2022 - PresentGöteborg, Västra Götaland, Sverige -
Non Executive Board MemberRuth Asset Management Sep 2023 - PresentStockholm, Sverige -
Non Executive Board Member At Navigera AbNavigera Ab Apr 2022 - Aug 2023Stockholm, Sverige -
Chairman Of The BoardLegimeet Ab Jan 2022 - PresentStockholm, SverigeLegimeet offers live interactive, sustainable, and efficient formal meetings such as Annual General Meetings. In Legimeet all functions are gathered in a single login platform for interactive virtual and hybrid meetings. Integrated real time video and voting allows everyone to participate on equal terms, no matter where they are. We are compliant with EU rules and directives (such as SRD II) and Swedish legislation (ABL).Legimeet has a solution for all types of formal meetings. We offer digital postal voting, physical, hybrid and virtual AGM for various organizations, companies, federations, and associations. -
Advisory Board MemberLegimeet Ab Feb 2021 - Dec 2021Stockholm, Sverige -
Head Of Equities, Asset Class HeadSeb Investment Management Ab Nov 2013 - Mar 2020Stockholm, SwedenIn charge of SEB’s investment capabilities for mutual funds and mandates within the equities area. Focused on investment processes, risk management, product strategy, communication, staff and renumeration. • Updated the product strategy which made it possible to streamline the offering and make the organization more efficient. • Developed the product offering with a concept for sustainability (ESG). • Shifted staff competencies based on business needs and client demand.• Developed the supporting functions by for example establishing an IT-team with programmers that supported all investment teams. The organization consisted of 6 to 8 investment teams and held ~30 portfolio managers based in 4 countries with a total asset under management of ~35 billion EUR.Investment processes included fundamental, quantitative and index methods. Asset class responsibility included portfolio performance, risk management, quality of investment process, hiring & firing and remuneration. -
Head Of Investment Solutions, Asset Class HeadSeb Investment Management Ab Oct 2012 - Nov 2013Stockholm, SwedenManaged investment teams for quantitative and multi-asset management. The work focused on giving support and create structures for the fast developing investment teams.• Carried out restructurings of teams, roles and products. • Developed own models for research and risk taking. The organization consisted of 8 investment teams with ~30 portfolio managers in 4 countries and held assets under management of ~17 billion EUR.The asset class area held investment processes for quantitative equity products, solution products with multi asset classes and global tactical asset allocation. Within the area of responsibility was also the Trading team that was responsible for the centralized trading of stocks and fund shares as well as the Treasury team that conducted treasury services for large global institutional portfolios.Asset class responsibility included portfolio performance, risk management, quality of investment process, hiring & firing and remuneration. -
Head Of Quantitative Portfolio ManagementSeb Investment Management Ab Nov 2010 - Oct 2012Stockholm, SwedenBuild up and structuring of SEB:s first investment team for active quant/rule based portfolio management. Assets under management rose from 0 to 8 billion EUR.• Development of proprietary investment process with factor and risk models as alpha sources. • Driver of internal insourcing of Global, Balanced, Sector and Swedish based products - from fundamental to quantitative based investment processes. • Driver of external insourcing of Emerging Markets focused SEB products.The area of responsibility held 5 teams – Quantiative Portfolio Management (QPM), Index & Solutions, Emerging Markets, IM Treasury and IM Trading - with ~20 portfolio managers and traders in total. -
Head Of Quant & Beta And Im TreasurySeb Investment Management Ab Mar 2008 - Nov 2010Stockholm, SwedenStarted the first investment team in SEB focusing on index management. Leveraging knowledge of beta management to create capabilites for quantitative/rule based management (smart beta). At start strategies for both Equities and Fixed Income were applied and focused on Equities in the later part. The team consisted of 3 - 5 persons.In addition responsible for Treasury team services to large global institutional portfolios including FX hedging, Repo management, Passive allocation and Cash management. The team consisted of 3 persons.The IM Trading team of 5 persons being responsible for centralized order routing of stocks and fund shares was an additional area of responsibility. -
Head Of Portfolio AnalyticsSeb Investment Management Ab May 2005 - Mar 2008Stockholm, SwedenBuildup of team for quantitative analysis of investment process.Functional responsiblility for business support functions.Quantitative reviews of investment teams – performance, risk, peer group and style analysisIdea generation within portfolio construction area – Nordic Focus and ALM linked portfoliosManagement of Smart Beta productsBusiness efficiency – diver of value added enhancement projects & initiatives as well as coordination of operational business supportMember of Investment Managements global management team -
Business ControllerSeb Investment Management Ab Jan 2003 - Apr 2005Stockholm, SwedenManaged and coordinated all aspects of business support operations, resulting in increased efficiency and cost savings.Performance and risk follow up of IM produced products (funds and discretionary portfolios)Financial control, budgeting & forecastingCommunication about product, project and organisational areasDrive and coordination of constant improvement initiatives of operational set up and business/order flowMember of Investment Managements global management team -
ControllerSeb Jan 2001 - Dec 2002Stockholm, SwedenController for the Investment Management business unit. • Financial reporting and follow up of various focus and key areas, analysis of financial results and coordination of forecasting process.• Responsibile for profitability analysis in the Asset Management division - developed both method and model for profitability calculations covering all products and clients. -
Risk & Performance AnalystSeb Oct 1998 - Dec 2000Stockholm, SwedenQuantitative analyst with focus on risk and performance analysis.• Calculation and reporting of returns (absolute and relative) and risks of both discretionary portfolios and mutual funds.• Ex post and ex ante risk calculations in equities and fixed income portfolios.• Idea generation of new portfolio constructions by optimizations when restructuring funds.• Credit analysis of brokers and issuers. -
Financial ControllerTrygg-Hansa Sep 1997 - Sep 1998Stockholm, SwedenFinancial controller for Trygg Hansa Försäkrings AB, a non-life insurance company.• Responsible for the accuracy of financial assets on the balance sheet • Calculated the official return figures of the asset portfolio and other key ratios• Controlling of the company currency hedging program
Rikard Andersson Skills
Rikard Andersson Education Details
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Business Administration -
Wallenberg InstituteLeadership, Strategy, Implementation And Communication -
Företagsanpassad Extern Managementutbildning (Fem) -
Seb CompetenceOrganizational Leadership -
Advanced Portfolio Theory -
Financial Theory And Operational Processes
Frequently Asked Questions about Rikard Andersson
What company does Rikard Andersson work for?
Rikard Andersson works for Ruth Asset Management
What is Rikard Andersson's role at the current company?
Rikard Andersson's current role is VD.
What is Rikard Andersson's email address?
Rikard Andersson's email address is ri****@****oup.com
What schools did Rikard Andersson attend?
Rikard Andersson attended Jönköping International Business School, Wallenberg Institute, Stockholm School Of Economics Executive Education, Seb Competence, Stockholm School Of Economics, George Mason University.
What skills is Rikard Andersson known for?
Rikard Andersson has skills like Asset Managment, Portfolio Management, Financial Markets, Derivatives, Equities, Fixed Income, Financial Analysis, Investments, Risk Management, Investment Management, Mutual Funds, Alternative Investments.
Who are Rikard Andersson's colleagues?
Rikard Andersson's colleagues are Christoffer Johansson, Cecilia Lager, David Bergström, Per Haldén, Cfa, Hugo Hedensiö, Ola Brantmark, Henrik Rosencrantz.
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Rikard Andersson
Senior Recruitment Consultant//Certified Researcher//Founder & Partner Astarec Ab//BeslutsfridStockholm County, Sweden -
Rikard Andersson
Greater Malmö Metropolitan Area
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