Sergejs Bekasovs is an experienced professional in portfolio management and risk analysis, currently serving as the Portfolio Management & Control Lead at Santander Consumer Bank - Nordics since January 2020. Previously, Sergejs held the position of Risk Control and Reporting Manager at Santander Consumer Bank AS from December 2016 to December 2019, and before that, held the role of Senior Risk Analyst at Santander Consumer Bank AB from April 2007 to December 2016, following a transition from GE Money Bank AB in 2014. Sergejs Bekasovs holds a Master's degree in Mathematics from Latvijas Universitate, where studies were completed between 2003 and 2009, and completed education at Kaunata Secondary School from 1991 to 2003.
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