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      Advising financial service providers on risk management and treasury
      In addition to his focus on bank and liquidity management, he is also responsible for risk type and cross-divisional issues. This includes in particular the technical interface to digitalization and transformation projects.

      1. Area Of Expertise

        Data and analytics

        International markets

        Liquidity

        National markets

        Risk management

        Transformation

        Growth markets

      2. Education & Qualification

        Dr. rer. nat. (TU Munich - Faculty of Mathematics)

        Diploma in mathematics - minor in economics (TU Munich)

        Actuary DAV (German Actuarial Association)