Markus Meinhold

Angestellt, Director, BlackRock Solutions, BlackRock

Frankfurt, Deutschland

Fähigkeiten und Kenntnisse

Structured Products
Derivative Pricing
Firmwide Stress-Testing
Quantitative Portfolio Optimization
Project Management
Change Programm Definition and Setup
Risk Strategy
Enterprise Architecture Management
Business Architecture
Private Equity
Credit Portfolio Management (CPM)
Climate Risk
ESG
Strategic Asset Allocation
Asset-Liability Management
Insurance Asset Management
Digital Banking
Basel III
Capital Requirements Regulation (CRR)
Banking Regulation
Solvency II
Balance Sheet Modelling
Operating Model Transformation
Asset Management
Credit Risk Modelling
Economic Capital
Internal Ratings Based Approach (IRB)
Non-Performing Loans
Asset Quality Review
Stress Testing
Financial Planning
Market Risk
Gesatmbanksteuerung
Assets Valuation
Structured Credit
Risk Reporting
Machine Learning
Python
VBA
SQL
SAS
R
Digitale Transformation
Business Development
FinTech
Credit Risk in the Trading Book
Scenario Analysis
Aladdin Investment Management Platform
ICAAP and ILAAP
Risk-based Pricing
Net Interesting Income Modelling
Net Fee and Commission Income Modelling

Werdegang

Berufserfahrung von Markus Meinhold

  • Bis heute 3 Jahre und 5 Monate, seit Jan. 2021

    Director, BlackRock Solutions

    BlackRock

    Banking & Insurance Expert, Programme Manager, and Senior Quantitative Modeller - Strategic Analytics & Transformation Projects globally (both inhouse and for external clients)

  • 3 Jahre, Jan. 2018 - Dez. 2020

    Director, Financial Markets Advisory

    BlackRock

    Co-Head of the Risk, Regulatory and Balance Sheet Management Practice in EMEA - Strategic Consulting and Expert Consulting across Europe

  • 2 Jahre, Jan. 2016 - Dez. 2017

    Vice President, Financial Markets Advisory

    BlackRock

    Strategy Consultant, Banking Expert and Senior Quantitative Modeller leading and executing Strategy and Expert Consulting Projects across Europe

  • 2 Jahre und 6 Monate, Juli 2013 - Dez. 2015

    Manager

    d-fine GmbH

    Management Consultant, Senior Quantitative Modeller and Risk Management Expert leading and executing projects for Banks in Europe

  • 3 Jahre, Juli 2010 - Juni 2013

    Senior Consultant

    d-fine GmbH

    Expert Consultant and Quantitative Modeller working with Banks across Europe and Asia

  • 2 Jahre und 1 Monat, Juni 2008 - Juni 2010

    Consultant

    d-fine GmbH

    Expert Consultant and Quantitative Modeller working with Banks in Europe and Asia

  • 4 Monate, Feb. 2008 - Mai 2008

    Diplomand

    d-fine

  • 3 Monate, Juli 2007 - Sep. 2007

    Intern

    d-fine

  • 2 Monate, März 2006 - Apr. 2006

    Intern

    Roland Berger Strategy Consultants

    Financial Services Practice

  • 2 Jahre und 3 Monate, Aug. 2003 - Okt. 2005

    Student Trainee

    Commerzbank AG

    Various positions in Market Risk, Asset Management and Enterprise Architecture (IT) in Frankfurt and Singapore within Commerzbank's student trainee programme (parallel to academic studies)

Ausbildung von Markus Meinhold

  • 2 Jahre und 7 Monate, Jan. 2009 - Juli 2011

    Mathematical Finance

    University of Oxford

    Derivative Pricing, Interest Rates and Credit Risk

  • 10 Monate, Aug. 2006 - Mai 2007

    Mathematics

    Syracuse University

    Probability Theory, Statistics, Measure Theory

  • 4 Jahre und 9 Monate, Okt. 2003 - Juni 2008

    Business Mathematics

    Ulm University

    Financial Mathematics

Sprachen

  • Deutsch

    -

  • Englisch

    -

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