
Dr. Philippe Cyril Mangold
Fähigkeiten und Kenntnisse
Werdegang
Berufserfahrung von Philippe Cyril Mangold
- Current 9 years and 8 months, since Nov 2016
Head Treasury & Liquidity Risk Management Int. Wealth Management division
Credit Suisse
- 1 year and 6 months, May 2015 - Oct 2016
Global Head Treasury & Liquidity Risk Strategy and Governance
Credit Suisse, London
Global Head Treasury & Liquidity Risk Strategy and Governance
- 2 years and 8 months, Sep 2012 - Apr 2015
Stress Testing and Scenario Analysis in Treasury & Private Banking
Credit Suisse, Zurich
Stress testing and scenario analysis for Treasury and Private Banking & Wealth Management Promotion to Head Stress Testing Group in 12/2013 Promotion to Vice President in 01/2014
- 5 years and 1 month, Aug 2007 - Aug 2012
Research and Teaching Assistant
University of Basel
- 1 year and 5 months, May 2004 - Sep 2005
Electricity Product Manager (Assistant)
Industrielle Werke Basel (IWB)
Management accounting, cost controlling, calculation of the pricing of products, concepts for energy products, project assistance, several presentations
- 5 months, Jun 2003 - Oct 2003
Assistant (Information Technology)
Baloise Insurance
Freelance testing of a computer program for insurance industry, designing of testing instructions, composition of test reports, instruction and briefing / debriefing of new testing teams
- 5 months, Jun 2002 - Oct 2002
Assistant (Information Technology)
Baloise Insurance
Freelance testing of a computer program for insurance industry, designing of testing instructions, composition of test reports, instruction and briefing / debriefing of new testing teams
Ausbildung von Philippe Cyril Mangold
- 5 years and 1 month, Aug 2007 - Aug 2012
Finance
University of Basel
Doctoral courses in Finance, Statistics and Econometrics. Doctoral thesis titled "Debt Markets and the Financial Crisis of 2007 to 2010
- 1 year, Aug 2006 - Jul 2007
Econometrics and Mathematical Economics
London School of Economics and Political Science
Specialized Courses: Econometric Analysis, Topics in Advanced Econometrics, Quantitative Economics, Time Series Analysis, Non-Linear Dynamics and the Analysis of Real Time Series
- 3 years and 2 months, Oct 2002 - Nov 2005
Business and Economics
University of Basel
Specialization in Economics and Financial Theory (Asset pricing, Derivatives, and Corporate Finance)
Sprachen
English
C1 (Fließend)
German
C2 (Verhandlungssicher / Muttersprachlich)
French
B1-B2 (Gute Kenntnisse)
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