Manuel Stoll CFA CFDS

Ehrenamt, Co-Founder and President, Decentralised Trade Association
Frankfurt am Main, Germany

Fähigkeiten und Kenntnisse

Multi Asset Portfolio Management
Overlay Management
Risk Management
Asset Management
Fixed Income / Duration
Derivatives
Data Science
Liquidity and Cash Management
Project Management
Financial Programming
Options and Total Return Strategies
Artificial intelligence
Machine Learning
Python
MatLab
Projektmanagement
Reporting

Werdegang

Berufserfahrung von Manuel Stoll CFA CFDS

  • Current 3 years and 4 months, since Feb 2023

    Co-Founder and President

    Decentralised Trade Association

  • 2 years and 1 month, Jan 2021 - Jan 2023

    Senior Portfolio Manager - Systematic Multi Asset & Overlay Strategies

    BERENBERG
  • 3 years and 3 months, Oct 2017 - Dec 2020

    Vice President, Multi Asset Portfolio Manager, Overlay Strategies

    DWS Group

  • 3 years and 6 months, Apr 2014 - Sep 2017

    Vice President, Senior Risk Manager

    DWS Group

    Risk Management for Passive, Active and Alternative Funds Business

  • 1 year and 1 month, Feb 2013 - Feb 2014

    Management Consultant

    Nachhilfefuchs

    Development of Software for Financial Controlling, Accounting and Reporting Assistant Professor for Accounting, Mathematics and English

  • 3 years and 3 months, Oct 2008 - Dec 2011

    Portfolio Investments und Treasury

    NordLB New York Branch

    Assistant Portfolio Manager: Assisted the Fixed Income Portfolio Manager in pricing, risk and performance valuation as well as liquidity and duration management. Moreover, I assisted the Money Market and FX Trader in liquidity and cash management and developed a new FX Hedging Strategy. Associate Project Manager: Led and built up my own project management team and managed several strategic projects for PI/Treasury, Risk Control and Finance.

  • 6 months, Apr 2008 - Sep 2008

    Risk Management

    DZ Bank AG London Branch

    Supported the Risk Management and Equity sales divisions of a leading international banking institution. Assembled reports detailing P&L performance, liquidity, valuation, risk statistics and data for futures, foreign exchange and interest rates. Processed reconciliations on futures, internal accounts and variation margin. Product Exposure: Bonds, ABS, Futures, FX, Equities

  • 3 months, Oct 2007 - Dec 2007

    Corporate Finance Analyst

    HypoVereinsbank AG

    Financial statement analysis and collateral valuation

  • 1 year and 6 months, Apr 2006 - Sep 2007

    Liquidity and Investment Banking

    Hypo- und Vereinsbank AG

    FX and Interest Rate Management for institutional clients - FX and IRD Sales

  • 3 years and 1 month, Sep 2004 - Sep 2007

    BA-Studium

    HypoVereinsbank AG

    Participated in a rotational work-study program with pratical experiences in Private Banking, Wealth Management and Corporate Finance. I specialized in FX and IRD Sales. Sales Position: Interest Rate and Currency Management: Swaps, Forwards, FX Options

Ausbildung von Manuel Stoll CFA CFDS

  • 1 year, Jan 2012 - Dec 2012

    Capital Markets and Corporate Finance

    IE Business School, Madrid

    Capital Market, Fixed Income, Derivatives, FX, Options, Structured Products, Financial Programming - MATLAB

  • 3 years and 1 month, Sep 2004 - Sep 2007

    Bank

    Duale Hochschule Baden-Wuerttemberg, Stuttgart

  • 3 years and 2 months, Sep 2004 - Oct 2007

    Business Administration

    Open University London

Sprachen

  • German

    C2 (Verhandlungssicher / Muttersprachlich)

  • English

    C1 (Fließend)

  • Spanish

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