Marc R. G.

Head of Risk Management & GRC at CECONOMY

Marc R. G. has a strong background in risk management and corporate development. Marc R. is currently working as the Head of Risk Management & GRC at CECONOMY AG since 2020. Prior to this, they served as the Senior Risk Manager at Generali Deutschland AG for nearly a decade from 2011 to 2020. From 2008 to 2010, they were involved in corporate development and continuous improvement management at Generali Group. Marc R. G. began their career at WestLB, where they held roles as a Senior Market Risk Analyst from 2006 to 2008 and as an Inhouse Consultant from 2001 to 2006.

Marc R. G. has a diverse education history. Marc R. obtained an MSc in International Management from the University of Plymouth in 2000. Prior to that, they completed their ing. degree at Fontys University of Applied Sciences from 1997 to 1999. From 1994 to 1999, they attended the University of applied Sciences Mönchengladbach, where they earned an International Dipl. Wirtsch.-Ing. degree. Additionally, Marc R. G. has pursued a PhD in Strategic Management as a candidate at the University of Düsseldorf.

In terms of certifications, Marc R. G. has obtained the Certified (Lean-)Six Sigma Black Belt, Certified Compliance Officer Solvency II (DVA), and Certified Risk Manager Solvency II (DVA) certifications, though the specific institutions and years of completion are not provided.

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Timeline

  • Head of Risk Management & GRC

    January, 2020 - present

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