Philipp Rossmanith

Angestellt, Vice President - Global Head Office - Tax Reporting, Deutsche Bank AG

Frankfurt am Main, Deutschland

Fähigkeiten und Kenntnisse

Master of Science Management
Bachelor Business Mathematics
hervorragende analytische Fähigkeiten
Capital Market Expertise
Willen zur ständigen Weiterbildung
Financial Statement Analysis
Teamfähigkeit
Balance Sheet Analysis
Kapitalmärkte
Financial Reporting
Fixed Income Products
Option Pricing
Corporate Finance
Microsoft Excel
Microsoft Power Point
Programmierung mit R
Programmierung mit Matlab
Finanzberichterstattung
Projektmanagement
Projektplanung

Werdegang

Berufserfahrung von Philipp Rossmanith

  • Bis heute 1 Jahr und 2 Monate, seit Apr. 2023

    Vice President - Global Head Office - Tax Reporting

    Deutsche Bank AG
  • 2 Jahre und 1 Monat, März 2021 - März 2023

    Assistant Vice President - Global Head Office - Tax Reporting

    Deutsche Bank AG

    Planning, analyzing and reporting of the Group’s Effective Tax Rate (ETR) and its impact on Group P&L I Overviewing the Bank’s tax risk position for Economic Capital purposes I Preparation of various planned or ad-hoc analyses and presentations for the Group CFO and Senior Management on the Bank’s tax and tax risk position I Coordination of several internal and external reporting documents within the teams of Deutsche Bank Finance I Organization of the communication with the Bank’s external auditor

  • 1 Jahr und 7 Monate, Sep. 2019 - März 2021

    Global Head Office - Tax Reporting

    Deutsche Bank AG

    After completing the Deutsche Bank Finance Graduate Program, I started my first permanent role in the Head Office - Global Tax Reporting within Deutsche Bank Finance.

  • 1 Jahr und 2 Monate, Juli 2018 - Aug. 2019

    Graduate Finance Trainee bei Deutsche Bank

    Deutsche Bank AG

    I started my career at Deutsche Bank completing a twelve-month Graduate Program in the Finance department. DB Finance monitors globally all financials, thereby providing the Board with accurate and timely information and advice for strategically managing the bank. The program offered four rotations in different areas of Finance – for three months each, I received deep-insights in the Head Office - Global Tax Reporting, the Chief Accounting Office, Planning & Performance Management and Investor Relations.

  • 4 Monate, Apr. 2016 - Juli 2016

    Praktikant

    Deutsche Bank AG

    Deutsche Bank AG - Private Wealth and Commercial Clients - Investment Products & Insurance - Product Portfolio Steering | Analyzing capital market development and related business performance for DB private and wealth products, including equity, bonds, mutual and multi-asset funds and structured products | Further supporting implementation of several digitalization initiatives within DB Strategy 2020

  • 4 Monate, Sep. 2015 - Dez. 2015

    Praktikant

    Deutsche Bank AG

    Deutsche Bank AG - Finance PBC - Risk & Balance Sheet Analytics | Supporting forecast and planning process of Risk Weighted Assets (RWA), CRD4 Leverage Exposure and Credit Loss Provisions (CLP) and deriving implications for senior management | Initiation and managing of several projects, including automatization of processes and transition projects

  • 2 Monate, Juni 2014 - Juli 2014

    Praktikant

    KPMG AG Wirtschaftsprüfungsgesellschaft

    Financial Services & Risk Analytics | Working on a consulting project for a major European universal bank | Conducting a risk inventory study, focusing on risk hierarchy and risk management processes (steering, qualification and quantification) of major US and European competitors | Supporting product development for an interactive risk heatmap by coding in R

Ausbildung von Philipp Rossmanith

  • 2 Jahre, Aug. 2016 - Juli 2018

    Mannheimer Master in Manangement

    Universität Mannheim

    Specialization in Banking & Finance with core courses Investments, Derivatives, Bond Markets, Asset Management, Behavioral Finance, Corporate Finance and Trading & Exchanges | Final Grade 1.1 (GPA 3.9 / 4.0) | Master Thesis: "Access to Information, Market Efficiency, and Corporate Decisions"

  • 2 Jahre und 10 Monate, Sep. 2012 - Juni 2015

    Wirtschaftsmathematik

    Universität Mannheim

    Business Mathematics specializing Business & Financial Mathematics | Final Grade 1.3 (GPA 3.7 / 4.0) | Bachelor thesis: "Optimal Stopping under Model Insecurity" covering the field of pricing & optimal exercising of American and exotic options in case of a multiple probability measure environment

Sprachen

  • Deutsch

    Muttersprache

  • Englisch

    Fließend

  • Französisch

    Gut

  • Spanisch

    Grundlagen

Interessen

Basketball
Fitnesstraining
Unternhemungen mit Freunden
Reisen
Kochen
NBA
NFL

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