Eberhard Lehr

Angestellt, OTC Equity Derivatives Analyst, Deutsche Bank

London, Vereinigtes Königreich

Fähigkeiten und Kenntnisse

• Strong client orientation and communication skil
paying attention to detail
but involving foresight as well • In-depth knowle
Reuters
Db-ticket
Summit
Imagine
Db-trader
3D-Cash
Kondor+
Trading Technologies
MS-Office (incl. Excel Pivot tables and Macros) •

Werdegang

Berufserfahrung von Eberhard Lehr

  • Bis heute 17 Jahre, seit Juni 2007

    OTC Equity Derivatives Analyst

    Deutsche Bank

    • Managed EUR 2 billion equity swap trade by ensuring that all the internal systems and processes were set up fully met so to allow smooth running of the deal. • Ensured that the external regulatory and Bundesbank requirements are fully met. • Confirmed, settled and reconciled trades for OTC contracts, including Exotic Equity Options, Forwards and Equity Swaps. • Identified, resolved and monitored trade/settlement discrepancies and breaks to minimise the banks equity derivatives risk. • Led a small tea

  • 11 Monate, Juli 2006 - Mai 2007

    Middle-Office Analyst

    Merchant Securities

    • On Equity and Options Desk, in Trade Support/Reconciliations: Captured trades, checked workflow and resolved queries on equities, warrants, options, structured products, unit trusts & bonds. • Reconciled securities/derivatives portfolios and cash accounts by using EXCEL-pivot tables. • Cleared discrepancies on all cash accounts and stock portfolios in only 5 months. • Undertook numerous projects including portfolio transfers, settlement cost evaluation and an implementation of a new Front-Office/Operat

Ausbildung von Eberhard Lehr

  • 1 Jahr und 9 Monate, Apr. 2010 - Dez. 2011

    Business Administration

    Imperial College, London

    Financial Managment, Business Economics (Microeconomics), Economic Framework (Macroeconomics), Quantitative Methods, Operational Behaviour, Strategic Management, Private Equity, Managing Change, Breakout Strategies, Innovation - Entrepreneurship & Design.

  • 1 Jahr und 1 Monat, Sep. 2003 - Sep. 2004

    Finance & Investment

    Brunel University, London

    Corporate Finance Derivatives Investments Economectrics Macroeconomics & Centralbank Policies

  • 10 Monate, Sep. 2002 - Juni 2003

    Investment & Financial Risk Management

    Cass Business School, London

    Coprorate Finance, Derivatives Risk Management Management Science

Sprachen

  • Englisch

    Fließend

  • Deutsch

    Muttersprache

Interessen

•Interests: passionate about international financial markets
football
Formula 1
politics/history & architecture/design.

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