Schlagwörter
Skills
Competencies
Investment Banking
Clearing/Settlement, Derivatives Market
Clearing/Settlement: Forex and Stock Market
Middle Office Derivatives und Forex Market
Trading Futures and Options Eurex, Forex
Risk Management, Market Risk
Asset Management
Portfolio Management Asset Allocation
Portfolio Analysis/ Portfolio Construction,
Performance Measurement, Taxation
Investment Guidelines
Reporting, Fact Sheets Investors Meeting
Fact Sheets marketing and Acquisition
Investment Boutique
Training of Investment Team
Member of Investment Committee, Investment Advisory
Research, Asset Allocation, Forex Trading,
Derivatives Trading, Investment Guidelines
Reporting, Fact Sheets Investors Meeting
Consultant
Front to Back Market data,
Approximation, Evaluation Illiquid Bonds (Toxics asset, ABS,)
Bloomberg Pricing, Bloomberg Market Data, Bonds Rating (Sov. und Inst.)
Risk Management, Evaluation und Analysis von Finance
Product, (Munis Bonds ABS, CDO, Plain Vanilla) und Key Numbers.
(Margin und cash Analyze Basel 2, 3),
Contract specification analysis Midfid, EMIR Design process-Workflow.
Hedge accounting, CDS versus Portfolio Bonds
Portfolio Analyze/Performance Measurement
Asset Allocation, Investment Guidelines, Taxation
Reporting, Fact Sheets Investors Meeting
Business Analysis, Joint Person IT/Business. Solution und Präsentation
Investment Banking
Clearing/Settlement, Derivatives Market
Clearing/Settlement: Forex and Stock Market
Middle Office Derivatives und Forex Market
Trading Futures and Options Eurex, Forex
Risk Management, Market Risk
Asset Management
Portfolio Management Asset Allocation
Portfolio Analysis/ Portfolio Construction,
Performance Measurement, Taxation
Investment Guidelines
Reporting, Fact Sheets Investors Meeting
Fact Sheets marketing and Acquisition
Investment Boutique
Training of Investment Team
Member of Investment Committee, Investment Advisory
Research, Asset Allocation, Forex Trading,
Derivatives Trading, Investment Guidelines
Reporting, Fact Sheets Investors Meeting
Consultant
Front to Back Market data,
Approximation, Evaluation Illiquid Bonds (Toxics asset, ABS,)
Bloomberg Pricing, Bloomberg Market Data, Bonds Rating (Sov. und Inst.)
Risk Management, Evaluation und Analysis von Finance
Product, (Munis Bonds ABS, CDO, Plain Vanilla) und Key Numbers.
(Margin und cash Analyze Basel 2, 3),
Contract specification analysis Midfid, EMIR Design process-Workflow.
Hedge accounting, CDS versus Portfolio Bonds
Portfolio Analyze/Performance Measurement
Asset Allocation, Investment Guidelines, Taxation
Reporting, Fact Sheets Investors Meeting
Business Analysis, Joint Person IT/Business. Solution und Präsentation
Projekthistorie
Projects:
Mar 18- Present Free Lancer WP Process, NPP ABS Process, Emission
Jul 17-Dec 17 Free Consulting Education and Seminar BGFI Bank Gabon
Seminar for BGFI Employees
Feb 17- Mai 17 Free Consulting Questax (Capital Market front to Back) Frankfurt am M.
Feb 16- Dec 16 CSC Consulting Company Frankfurt/Main-Wiesbaden
Business Analyst/Advisor, Banking and Capital Market
Analyze and Solution of Banking related Problem in Core Banking, Capital Market and Asset Management
Credit Suisse: Analysis and Solution of Post Trading Data Management. Layer Introduction, Operation Derivative Mgmt
Sal Oppenheim: Business and Workflow Analysis, Change and Post Trading Data system. Front- to back- office Basel / Facta.
VW financial Service: Workflow and Credit Analysis, Rating system introduction and Forex Hedging method. Market Risk,
Deutsche Bank: Asset Mgmt: Limit and taxation of Funds and fund of Funds Investment Guidelines (Basel 2, 3, Margin), Performance Measurement, Client Reporting and Taxation
01.01.10-30.06.15 free lancer Consultant in Asset Mgmt/ Investment Banking
01.06.14 -30.06.15 Dempside Investors (London),
Investment Strategy, Asset Allocation Funds of funds
Phoenix Asset Mgmt (London)
Investment Guidelines (Basel 2, 3, Margin), Performance, Taxation
01.08.13- 31.03.14 Aviva Investors (London)
Market Risk, Investment Guidelines (Basel 2, 3, Margin requirement)
Performance Measurement Bonds evaluation, Monthly Reporting
01.05-12-31.03.13 Cadidec e.G Investment Club (Germany)
Investment Advisory, Forex trading, Taxation
01.04.10-30.12.11 Immo Capital Service (Germany & UK)
Research and Asset Allocation, Market Risk
Currency Adjustment, Funds Analyze, Fund of Funds, taxation
Oct 08 -Dec 09: Finbridge GmbH Frankfurt/Main (Germany)
Senior Consultant/ Financial Engineer in
Quantitative Analysis, Market Risk Project.
Approximation, Evaluation Illiquid Bonds (Toxics asset, ABS,)
Bloomberg Pricing, Bloomberg Market Data, Internal Bonds rating
(Munis Bonds ABS, CDO, Plain Vanilla) und Key Numbers.
Market- and Liquidity risk (Margin und cash Analyze related to Basel 2, 3) Hedge accounting, CDS versus Portfolio Bonds
Mai 08 –Sept 08: Free Lancer in Asset Management (Frankfurt/Main)
Performance Measurement, Derivative Settlement, BBG pricing
Product Control (Mutual funds and special funds)
Mar 18- Present Free Lancer WP Process, NPP ABS Process, Emission
Jul 17-Dec 17 Free Consulting Education and Seminar BGFI Bank Gabon
Seminar for BGFI Employees
Feb 17- Mai 17 Free Consulting Questax (Capital Market front to Back) Frankfurt am M.
Feb 16- Dec 16 CSC Consulting Company Frankfurt/Main-Wiesbaden
Business Analyst/Advisor, Banking and Capital Market
Analyze and Solution of Banking related Problem in Core Banking, Capital Market and Asset Management
Credit Suisse: Analysis and Solution of Post Trading Data Management. Layer Introduction, Operation Derivative Mgmt
Sal Oppenheim: Business and Workflow Analysis, Change and Post Trading Data system. Front- to back- office Basel / Facta.
VW financial Service: Workflow and Credit Analysis, Rating system introduction and Forex Hedging method. Market Risk,
Deutsche Bank: Asset Mgmt: Limit and taxation of Funds and fund of Funds Investment Guidelines (Basel 2, 3, Margin), Performance Measurement, Client Reporting and Taxation
01.01.10-30.06.15 free lancer Consultant in Asset Mgmt/ Investment Banking
01.06.14 -30.06.15 Dempside Investors (London),
Investment Strategy, Asset Allocation Funds of funds
Phoenix Asset Mgmt (London)
Investment Guidelines (Basel 2, 3, Margin), Performance, Taxation
01.08.13- 31.03.14 Aviva Investors (London)
Market Risk, Investment Guidelines (Basel 2, 3, Margin requirement)
Performance Measurement Bonds evaluation, Monthly Reporting
01.05-12-31.03.13 Cadidec e.G Investment Club (Germany)
Investment Advisory, Forex trading, Taxation
01.04.10-30.12.11 Immo Capital Service (Germany & UK)
Research and Asset Allocation, Market Risk
Currency Adjustment, Funds Analyze, Fund of Funds, taxation
Oct 08 -Dec 09: Finbridge GmbH Frankfurt/Main (Germany)
Senior Consultant/ Financial Engineer in
Quantitative Analysis, Market Risk Project.
Approximation, Evaluation Illiquid Bonds (Toxics asset, ABS,)
Bloomberg Pricing, Bloomberg Market Data, Internal Bonds rating
(Munis Bonds ABS, CDO, Plain Vanilla) und Key Numbers.
Market- and Liquidity risk (Margin und cash Analyze related to Basel 2, 3) Hedge accounting, CDS versus Portfolio Bonds
Mai 08 –Sept 08: Free Lancer in Asset Management (Frankfurt/Main)
Performance Measurement, Derivative Settlement, BBG pricing
Product Control (Mutual funds and special funds)
Reisebereitschaft
Verfügbar in den Ländern
Deutschland, Österreich und Schweiz