London, United Kingdom
Delivery Manager at Lombard Risk
Banking
Education
University of Hagen 2003 — 2006
Economics
Humboldt-Universität zu Berlin 1999 — 2002
Bachelor's degree, Economics
Experience
Lombard Risk August 2015 - Present
J.P. Morgan June 2014 - July 2015
J.P. Morgan July 2010 - June 2014
JP Morgan October 2006 - July 2010
PayPal/eBay June 2004 - October 2006
Deutsche Bank May 2000 - January 2003
Commerzbank AG June 1999 - September 1999
Sparkasse Märkisch-Oderland November 1997 - March 1999
Sparkasse Märkisch-Oderland January 1997 - November 1997
Skills
Six Sigma, Reference Data, Trading, Derivatives, Financial Analysis, SWIFT payments, Interest Rate..., Rates, Fixed Income, Finance, Structured Products, Management, Bloomberg, Banking, Securities, Equities, Investment Management, Trading Systems, PRINCE2, Corporate Actions, Financial Services, Business Analysis, Portfolio Management, Equity Derivatives, Credit Derivatives, Electronic Trading, Retail Banking, Hedge Funds, Private Banking, Financial Risk, Agile Project Management, Financial Markets, Asset Allocation, Asset Management, Operational Risk, Back Office, Risk Management, Bonds, Six Thinking Hats, Capital Markets, Relationship Management, Wealth Management, Equity Trading, Investment Banking, FX trading, Investments, FX Options, Credit Risk, Middle Office, Options