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yyyyyy x. yyyyyy                                         

0000 xxxxxx xxxx , xxxx , xxxxx 00000


career objective                                           

results-driven risk management executive eager to contribute demonstrated leadership, business development, and strategic problem-solving skills toward actively supporting the employer in optimizing profitability


ø  offer numerous years of progressive experience with expertise in investment banking risk assessment and mitigation in the global financial industry

ø  demonstrated ability to assess existing procedures to streamline operations and pioneer innovative process improvements

ø  effectively identify and capitalize on opportunities to penetrate and develop markets in highly competitive arenas

ø  proactive team player equally effective in independent and collaborative settings

ø  ensure compliance with all corporate policies and procedures as well as government laws and regulations

ø  dynamic communication, presentation, negotiation, and relationship management skills; bilingual in english / german

professional experience                            

landesbank baden-wuerttemberg (lbbw), new york, ny                                                                                   10/08 c present

department head, risk management / risk control

  • successfully drive all aspects of operations c including market, liquidity, credit, and operational risk management functions c for the risk control department at the new york branch of germany s largest public sector bank
  • direct branch and broker operations auditing by us and german regulatory bodies including the federal reserve bank of ny, ny state bank department, financial industry regulation authority (finra), and bundesbank and the german federal financial supervisory authority (bafin)
  • served as project manager responsible for securing regulatory approval of internal risk model for the quantification of trading and investment book related market risk (var and sensitivities) and risk capital charges; additionally oversaw the overhaul of local funding and fx hedging policies and related processes


sal. oppenheim jr. & cie. kgaa, frankfurt, germany                                                                                          7/03 c 9/08
senior vice president, equities trading & derivatives (2/07 c 9/08)

  • in recognition of outstanding performance, steadily progressed within europe s largest privately owned bank to attain executive-level position entrusted with establishing and managing the bank s first indirectly invested equity derivatives fund with performance exchange via total return swaps; led fund to rank as highest contributor to the equities trading & derivatives division s p & l in 2007
  • expertly defined, implemented, and traded varied instruments, including reit, alternative energy, and retail derivatives; managed comprehensive development cycles from conceptualization through design, new product approval, legal documentation, and trade management
  • pioneered the bank s first off-shore issuance vehicle and structured exchange traded funds (etfs)

department head, market risk control (7/03 c 1/07)

  • oversaw daily p & l and risk quantification / reporting / escalation approval processes for all trading positions within the investment banking division
  • effectively managed institution-wide entry into exotic equity derivatives market and reported directly to the bank s board of partners; achieved leading position within targeted market through local and stochastic volatility pricing models for single and multiple underlying barrier options, a new clustered it architecture, various new product implementations, and  redesign of trading, settlement, risk control, and documentation processes
  • developed and instituted new agreement covering the allocation of derivatives trading / sales-related profits between head office and european subsidiaries


accenture gmbh, kronberg, germany                                                                                                                1/01 c 6/03

manager, financial services industry group

  • proficiently led team of more than 80 consultants and executives in defining business case for credit derivatives trading and developing and implementing bank-wide architecture for straight-through trading, settlements, reporting, and risk management


westfalische wilhelms-universitat (university of munster), germany

diplomkaufmann (master of business administration in management)

  • study abroad, university of st. andrews, scotland


~ professional credentials ~

certified financial risk manager, global association of risk professionals

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