KM

Klaus Mark

Vice President Risk Controlling at KfW IPEX-Bank

Klaus Mark has a strong work experience in various roles and sectors. Klaus started their career in 2000 as a Research and Teaching Assistant at RWTH Aachen University. In 2005, they transitioned to become a Financial Consultant at Warth & Klein Grant Thornton AG. In 2006, they joined KfW as a Senior Economic Analyst and held this position until 2010. Klaus then worked at the Federal Chancellery - Federal Republic of Germany as a Senior Economic Analyst from 2010 to 2011. Klaus returned to KfW in 2011 as a Senior Economic Analyst and was promoted to Vice President Credit Analysis in 2012. Klaus later transitioned to a role as Vice President Risk Controlling in 2017.

Klaus Mark earned their PhD in Finance from RWTH Aachen University from 2000 to 2005. Prior to that, they obtained a Master's degree in Economics from The University of Bonn, where they studied from 1994 to 1999. Apart from their formal education, they have also obtained certifications in Financial Risk Manager (FRM) and Energy Risk Professional (ERP) from the Global Association of Risk Professionals (GARP), although the details of when they obtained these certifications are not provided.

Links

Timeline

  • Vice President Risk Controlling

    September, 2017 - present

  • Vice President Credit Analysis

    June, 2012