In this interview the topic of risk management in a changing banking sector is discussed, focussing on recent changes to the banking sector and what the future trends will be.
As Associate Director of risk management, his main role is obviously risk management focussing on market risk and treasury. He has years of experience in research, derivatives trading, market risk management, as well as asset and liability management. Dr. Andreas Bohn is a member of the Worldwide Financial Institutions practice and a Topic Leader for market risk in the European Risk Expert team. He has also published a number of books and articles on topics related to risk and treasury.
Before joining BCG in 2014, Dr. Andreas Bohn worked for Barclays in London, and Deutsche Bank in Frankfurt am Main. He graduated from University of Muenster and Juniata College, PA, USA and earned a Doctorate degree from University of Augsburg
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