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Created : 25.09.2017. Updated: 30.05.2018.


Mr Kaspars Āboliņš

Date of Birth: 01.01.1975.




Degree or Diploma Obtained


University of Latvia, Faculty of Economics and Management

Master degree in Public Management


University of Latvia, Faculty of Management and Economic informatics

Bachelor degree in Business Management


Riga Secondary school Nr.58

Secondary education

Work experience:









01/2018 Joint-stock company “Conexus Baltic Grid” Chairman of the Council The supervision of the board's activities
06/2016 - 05/2018 Nordic Investment Bank Chairman of the Board of Directors     Management of the Board of Directors


Air Baltc Corporation AS

Member of the Council

The supervision of the board's activities


Joint-Stock Company “Development Financial Institution”

Head of Restructurisation

To manage and organise the integration (restructuring) process of State owned joint stock company "Latvian Development Finance Institution Altum", Latvian Guarantee Agency Ltd, State owned joint stock company ,,Rural Development Fund” simultaneously ensuring the supervision, coordination and control of the entire process.


Joint-Stock Company "Reverta"

Member of the Council

Representation of the interests of the company's shareholders and the supervision of the board's activities.


State Joint-Stock Company "State Real Estate"

Chairman of the Board

Representative of state interests in the management of state real estate as well as in the development of new construction projects that are important for the state

7/2011 -

Nordic Investment Bank

Director, Board of Directors

The Board of Directors makes policy decisions concerning the operations and approves the financial transactions.

6/2008 - 7/2011

Nordic Investment Bank

Alternate of Director, Board of Directors


4/2006 -

The Treasury of the Republic of Latvia


Performance the functions and tasks prescribed in the Law on Public Administration Structure and Regulation of the Treasury.

1/1997 – 4/2006

The Treasury of the Republic of Latvia

Director of Financial Risk Management Department

Management of the financial risks of the government debt portfolio and assets portfolio;

Analysis of the government debt portfolio, loans and guarantees portfolio;

Monitoring and forecasting developments on the finance and capital markets;

Evaluation of projects applying for government loans or guarantees and the financial position of project applicants;

Evaluation of the financial position of Cohesion Fund project applicants and ability to provide co-financing.

6/2001 -5/2006

Ministry of Finance

Supervisor of stabilization process in Ugale parish

Supervision and control of financial stabilization process.

1/2003 -

SIA BO Ltd Non-profit organization “Ziemeļvidzemes atkritumu apsaimniekošanas organizācija”


Representation of interests of the Ministry of Finance as the creditor.

2/2000 – 12/2002

Ministry of Finance / Local government borrowing and guarantees monitoring and supervision commission

Head of commission

Management of the commission.

Evaluation and supervision of local government borrowing and guarantees.

3/1997 – 2/2000

Member of commission


3/1999 – 6/2001

Ministry of Finance / Local government stabilization project coordination and supervision commission


Head of commission

Evaluation and supervision of local government stabilization projects.

9/1996 – 1/1997

Ministry of Finance

Head of Division of loan forecasting and analyses in Foreign debt management department

Forecasting and analyses of state debt.

9/1994 – 9/1996

Ministry of Finance

Chief expert of Division of loan forecasting and analyses in Foreign debt management department

Disbursements for state guaranteed loans.

Additional education:




4 – 5/2008

Overview of Financial Sector Issues and Analysis

The World Bank


Application of the derivatives in state debt management.

Merill Lynch/ ENB Consulting

11 – 12/2004

Analysis of bank credit risk.

Moody’s, Londona


Profound debt management.

Nordea Markets


Financial risk management.

Nordea Markets


Financial markets and new financial instruments.

IMF Institute


Governance development program.

Quality Management; Risk Management; Trainings of the Latvian School of Public Administration, etc.

FTI Finance

Other information:

Participation in seminars, conferences and forums, organized by World Bank, IMF, central banks or ministries of finance of Scandinavian countries, international financial institutions. about central government debt management, local government finance control, etc.

Cooperation with Latvian government securities investors and international financial institutions, investment banks, government institutions of other countries, the EU.

Language skills: Latvian - native, Russian - fluent, English - fluent