Dekabank Deutsche Girozentrale
Lars Fleischmann has extensive work experience in risk management, with roles in various financial institutions. Lars began their career at BW Bank as a Risk Controller from May 1998 to June 2001. Lars then moved to Deutsche Apotheker und Ärztebank, where they served as the Head of Risk Controlling from July 2001 to September 2004. Afterward, they joined DekaBank Deutsche Girozentrale, starting as the Head of Market Risk from October 2004 to March 2008. Lars progressed to become the Head of Risk Management Equity & Rates Trading from April 2008 to April 2012, followed by the Head of Liquidity Risk Management from May 2012 to March 2015. Currently, they hold the position of Head of Market and Liquidity Risk Management, starting from April 2015.
Lars Fleischmann obtained a Diplom degree in Physik from Johannes Gutenberg University Mainz in 1992. Lars later pursued their doctoral degree in Physik from the same university, completing their Promotion, Dr. rer.nat. in 1998. Additionally, they briefly studied Physik at McGill University in 1993.
Dekabank Deutsche Girozentrale
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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.