Höhenfrühstück 05: Europäische Einlagensicherung – Divers! Resilient?
Unterstützt von PwC Österreich
Die Europäische Union (ECOFIN) will in allen EU-Ländern eine Einlagensicherung schaffen. Im nächsten Schritt ist sogar eine europäische Einlagensicherung angedacht. Wie muss eine europäische Einlagensicherung gestaltet sein, um einen Mehrwert für alle zu schaffen? Was sind die Schritte um dieses Ziel zu erreichen? Was sind die Hindernisse und was sind die Sorgen der diversen Stakeholder?
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Dr. Dirk HOLLÄNDER
Director and Partner, zeb Group, Münster
Since 1999 zeb. | |
Projects: | |
- Responsibility for the overall global program for changing the management logic of a German universal bank with strong investment banking, global outside-in analyses / benchmarking for group management (focus: KPIs, value drivers and reporting), development and implementation of a KPI / VBM concept and establishment of balance sheet management; training the entire finance area (over 1000 staff) about the new management logic and technical implementation; project sites: Frankfurt, London, New York and Singapore | |
- Strategic / business policy realignment of the finance / treasury segment at a German state bank, as well as development and execution of the measure plan for effectively downsizing the segments (personnel / infrastructure costs) | |
- Development of a comprehensive FTP concept and reporting methodology for a (top 3) German retail bank, while considering the special features of the non-core portfolio and group limitations | |
- Various projects for strategic alignment of treasury / ALM in large and state banks, incl. adjusting the relevant management concepts in Germany and Switzerland | |
- Regular executive training and coaching sessions about issues regarding total bank management and treasury management |
Julie GALBO
Chief Risk Officer and Head of Group Risk Management and Control, Nordea Bank AB, Copenhagen
1992-1996 | Master, Law, Aarhus University |
1996-1998 | Master, Law, University of Copenhagen |
2003-2005 | Deputy Director, Markets Division, Finanstilsynet, Copenhagen |
2005-2006 | Chief Compliance Officer, Nordea Markets, Copenhagen |
2006-2008 | Project Manager, MiFID Implementation, Nordea Markets, Copenhagen |
2008-2009 | Executive Advisor, Head of Management Support, Private Banking, Nordea Bank AB, Copenhagen |
2009-2010 | Head of Division, Ministry of Economic and Business Affairs, Copenhagen |
2010-2011 | Executive Management Program, INSEAD |
2010-2014 | Deputy Director General, Finanstilsynet, Copenhagen |
2014-2015 | Head of Alternatives and Manager Selection, Nordea Asset Management, Copenhagen |
Since 2015 Head of Legal Structure Programme, Nordea Bank AB, Copenhagen | |
Since 2016 Head of Regulatory Change Management, Nordea Bank AB, Copenhagen | |
Since 2017 Chief Risk Officer, Nordea Bank AB, Copenhagen |
Mag. Andreas ITTNER
Vice-Governor, OeNB - Oesterreichische Nationalbank, Vienna
Since 1983 Oesterreichische Nationalbank, Vienna | |
11 years Director of the Financial Stability and Bank Inspections Department | |
10 years Head of the Secretariat for the President | |
2008-2013 | Member of the Governing Board, responsible for Financial Stability, Banking Supervision and Statistics, Oesterreichische Nationalbank, Vienna |
Since 2013 Vice-Governor, responsible for Financial Stability, Banking Supervision and Statistics, Oesterreichische Nationalbank, Vienna |
Klaus FIALA
Chief Editorial Team, Zurich Office, Forbes, Zurich
2010-2014 | B.Sc. in Economics, WU (Vienna University of Economics and Business), Vienna |
2014-2016 | M.Sc. in Economics, WU (Vienna University of Economics and Business), Vienna |
2014 | Editor, financial markets, APA - Austria Press Agency, Vienna |
2015-2016 | Staff Writer, Forbes, Vienna |
since 2017 | Chief Editorial Team, Forbes, Zurich |