Bart Everaert, Market Manager Risk & Finance - Americas, WOLTERS KLUWER
Bart Everaert is responsible for the vision and strategic outline of Wolters Kluwer's Risk and Finance solutions and services for the Americas market. Everaert started his career in 2005 with the firm's Professional Services team, where he led various projects in the U.S., Europe and Middle East on capital adequacy, liquidity, stress testing, IFRS 9 and regulatory reporting initiatives. This experience has made him a big believer in the need for an integrated framework across an organization's finance, risk and reporting areas.
Everaert obtained a MSc in Economics and an advanced MSc in Banking and Finance from Ghent University. He is also a certified FRM holder obtained from the Global Association of Risk Professionals (GARP).