Peter Veit

Head Of Financial Risk - Americas at Interactive Brokers

Peter Veit is a seasoned financial professional currently serving as the Head of Financial Risk for Interactive Brokers Central Europe since May 2021, where Peter is instrumental in developing the financial risk framework. Previously, Peter held the position of Liquidity Risk - Derivatives Stress Testing Team Lead at Morgan Stanley from October 2016 to May 2021, overseeing a team responsible for key risk indicators and liquidity stress testing. Peter also served as a Treasury Risk Associate in the Interest Rate Risk in the Banking Book group, focusing on monthly interest income sensitivity projections and balance sheet reconciliations. Prior experience includes roles at ExxonMobil as a Controller, managing fixed asset analysis for France and the UK, and as an Accountant at Finacon-T Ltd., performing accounting activities for Alcatel-Lucent Hungary Ltd. Peter began their career as a Data Analyst at Dendrite Hungary Ltd., contributing to medical market research. Peter holds a Master of Science in Financial Management from the University of Buckingham and a Bachelor's degree in Applied Economics from Corvinus University of Budapest.

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