Senior Manager
KPMG in Germany
Marcus has more than 15 years of experience in the Financial Services Industry with a strong focus on risk management in various roles including first line of defense. He joined KPMG in January 2016 and his risk management expertise covers all areas of risk especially market, credit, and liquidity risk and includes very strong experience in P&L and performance management, e.g., return on equity, leverage ratio etc.. Before joining KPMG Marcus has worked for 8 years as a Managing Director in front office trading at Royal Bank of Scotland plc responsible for a team actively trading credit repo, structured finance products, collateral trading and all relevant hedge instruments. At RBS he has also managed the refinancing of the securities trading and banking inventory and has executed term financing trades on behalf of Treasury in the market. Before working in trading Marcus worked in various roles in Market and Regulatory Risk at Dresdner Bank. Main focus has been internal market risk and counterparty credit risk models as well as leading project work to measure RWA and capital.
Dr. rer. nat. (PhD) in Physics
Financial Conduct Authority (FCA) approved person to execute trading businesses for regulated Financial Institutions in the UK (status inactive)