Zürich Area, Switzerland
Risk Analyst / Credit Officer
Banking
Education
Global Association of Risk Professionals (GARP) 2005 — 2005
FRM, Risk - and Portfolio Management
University of Hagen 1999 — 2004
MBA (Diplom Kaufmann), Banking, Tax, Production, Microeconomics
Städt. Gymnasium Thomaeum
Experience
UBS AG February 2012 - Present
UBS AG March 2011 - March 2012
UBS AG January 2007 - April 2011
WestLB AG April 2006 - December 2006
WestLB AG April 2001 - March 2006
Skills
Valuation, Structured Finance, Quantitative Analytics, Quantitative Finance, Private Equity, Operational Risk, Insurance, Credit Derivatives, Interest Rate..., SAS, Liquidity Risk, Alternative Investments, Credit, Structured Products, Equity Derivatives, Requirements Gathering, Risk Analysis, Financial Institutions, Fixed Income, Capital Markets, Equities, Mergers & Acquisitions, Analysis, Hedge Funds, Strategic Financial..., Basel II, Economics, Securities, Due Diligence, Market Risk, Risk Management, Financial Risk, Financial Structuring, Corporate Finance, Financial Modeling, Investment Advisory, Derivatives, Credit Risk, Banking, Portfolio Management, Operational Risk..., Investments, Private Banking, Trading Systems, Econometrics, Financial Markets, ALM, Bonds, VBA, Financial Analysis