Jan-Peter has over 20 years experience in risk management across a wide variety of asset classes and global trading markets, both in a banking and a corporate environment. He has held various risk and trading positions for Barclays Bank in London and New York; worked as Head of Market Risk for the Royal Bank of Scotland; Head of Risk for BP’s Integrated Supply and Trading business; and Head of Risk Management for 3i plc. Currently he works for Citi in London as Head of Risk Management for the global commodities trading division, and as Head of Credit Risk for four global industries (power, energy, chemicals and mining). In 2007 he managed the London Accord, the then-largest ever collaborative research project into the financial aspects of climate change. The report, published in December 2007, placed research by leading investment banks, NGOs, law firms and academic institutions in the public domain. Jan-Peter has also spoken at several Long Finance events including most recently at the Long Finance Spring Conference 2013 "How To Innovate, What To Regulate: Achieving Real Change On The Road To Long Finance".