Florian P. Meyer

Basic

Angestellt, Executive Director, Goldman Sachs

Frankfurt am Main, Germany

Timeline

Professional experience for Florian P. Meyer

  • Current 2 years and 1 month, since Jan 2020

    Executive Director

    Goldman Sachs
  • 3 years and 3 months, Oct 2016 - Dec 2019

    Associate - Investment Banking

    Goldman Sachs
  • 3 months, Jul 2016 - Sep 2016

    Associate - Investment Banking

    Rothschild GmbH

  • 3 years, Jul 2013 - Jun 2016

    Analyst - Investment Banking

    Rothschild GmbH

    Debt Advisory, Equity Advisory, Financial Restructuring, Hedging Advisory

  • 3 months, Apr 2012 - Jun 2012

    Intern - Global Financial Advisory

    Rothschild GmbH

  • 1 year and 3 months, Jan 2011 - Mar 2012

    Group Treasury

    Commerzbank AG

    Rotationsprogramm mit Einsätzen im Geldmarkthandel, Kapitalmarktfunding, Balance Sheet Management & Liquidity Analytics.

  • 2 years and 4 months, Sep 2009 - Dec 2011

    Tutor im Fachbereich Wirtschaftsmathematik

    Frankfurt School of Finance & Management
  • 2 months, Jul 2010 - Aug 2010

    EMC Commodity Solutions Group

    Commerzbank AG
  • 1 year and 6 months, Jan 2009 - Jun 2010

    Interest, Currency & Liquidity Management

    Commerzbank AG

    Programmierung von Szenariosimulatoren, Bearbeitung konzeptioneller Fragestellungen des Vertriebs.

  • 7 months, Jun 2008 - Dec 2008

    Vertriebsstrategie Private Kunden

    Cominvest Asset Management GmbH

  • 2 years and 9 months, Sep 2005 - May 2008

    Auszubildender / Vertriebsassistent Private Banking

    Sparkasse KölnBonn

    Ausbildung zum Bankkaufmann bis 12/2007. Im Anschluss Vertriebsassistent im Private Banking.

Educational background for Florian P. Meyer

  • 2 years, Nov 2015 - Oct 2017

    Mergers & Acquisitions

    Frankfurt School of Finance & Management

    Abschluss als Jahrgangsbester mit der Note 1,2 (92,25%), Thema der Master-Thesis: "Valuation of oil exploring corporations using real options" (Note 1,0). Studienfelder: M&A, Equity Capital Markets, Debt Capital Markets, Private Equity, Distressed Investments and Financial Restructuring

  • 1 year, Aug 2012 - Jul 2013

    Finance

    London Business School

    Abschluss mit Auszeichnung ("Graduation with distinction", Top 10% of des Jahrgangs). Studienfelder: Corporate Finance (Investment Banking, Private Equity and Venture Capital), Asset Management, Fixed Income

  • 3 years and 4 months, Mar 2011 - Jun 2014

    Investment Banking

    CFA Institute

    CFA Level I und II abgeschlossen. Studienfelder: Investments, Corporate Finance, Behavioural Finance, Financial Analysis, Asset Management

  • 5 months, Aug 2010 - Dec 2010

    Business Economics, Finance

    Emory University - Goizueta Business School

    Corporate Governance & Restructuring, Investments, Strategic Management, Entrepreneurship

  • 3 years and 5 months, Sep 2008 - Jan 2012

    Betriebswirtschaftslehre

    Frankfurt School of Finance & Management

    Abschlussnote 1,3 (91,0%). Thema der Bachelor-Thesis: "Einsatz von Value-at-Risk Verfahren zur Quantifizierung und Analyse des Marktrisikos nonlinearer Finanzinstrumente" (Note 1,0). Studienfelder: Quantitative Finance (Derivatives, Risk Mgmt., Asset Mgmt), Information Technology und Economics.

  • 2 years and 3 months, Apr 2008 - Jun 2010

    Bankbetriebslehre

    Frankfurt School of Finance & Management

Languages

  • German

    First language

  • English

    Fluent

Interests

Geld- und Kapitalmärkte
Wertpapiere
Derivate
M&A
Corporate Finance
Globale wirtschaftliche Entwicklungen
Gesellschaftliche Fragestellungen
Programmieren
Grafik & Design
Astronomie
Wandern

Group memberships

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