Daniel Banovic serves as the Head of Finance & Treasury at juwi Group since July 2023. Prior to this role, Daniel held the position of Head of Liquidity Risk and Executive Director at Goldman Sachs Bank Europe SE from January 2019 to May 2023. Daniel's earlier experience includes serving as a Treasury Manager at Deutsche Börse AG from December 2013 to December 2018, and as a Trainee in Finance and Accounting at Union Investment from August 2012 to September 2013. Daniel's educational background includes a Master of Arts in Finance from RheinMain University of Applied Sciences and a Bachelor of Business Administration from Hochschule Mainz - University of Applied Sciences, supplemented by training as a Bankkaufmann at Nassauische Sparkasse. Areas of expertise include Treasury, Cash Management, Repo, Investment Policy, and regulatory compliance.
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