Dr. Carsten S. Wehn

Leitung Modellrisikomanagement Und -validierung (head Of Model Risk Management And Validation) at Dekabank Deutsche Girozentrale

Dr. Carsten S. Wehn has extensive work experience in various roles related to risk management and validation. Dr. Carsten S. began their career at Sparkasse KölnBonn in 1999, where they worked in risk control. In 2001, they joined Deutsche Bundesbank as an examiner for banks' internal risk models. In 2005, they moved to DekaBank Deutsche Girozentrale, initially as a project manager in market risk controlling, before taking on roles as head of risk modelling, head of market risk control, and head of ICAAP and op risk. From 2016 to 2019, they served as the head of model validation, and since October 2019, they have been the head of model risk management and validation. In addition to their industry experience, Dr. Wehn has also worked as a lecturer and instructor at Universität Siegen starting in 2006.

Dr. Carsten S. Wehn received a degree in Diplom-Wirtschaftsmathematiker from Universität Siegen in the years 1995 to 2000. Continuing their education, they obtained a Dr. rer. nat. / Promotion degree in Mathematik from the same institution from 2003 to 2005. Additionally, they studied Mathematik at Nantes Université from 1997 to 1998.

Location

Frankfurt, Germany

Links


Org chart

No direct reports

Teams


Offices


Dekabank Deutsche Girozentrale

3 followers

DekaBank is the "Wertpapierhaus"​ of the German savings banks. With managed fund assets of about € 160 billion, approximately four million customer deposits and group locations in Luxembourg and Switzerland, the Deka-Group is one of the largest asset managers in Germany.


Industries

Headquarters

Frankfurt, Germany

Employees

1,001-5,000

Links