Brigitte Ackermann
About Brigitte Ackermann
Brigitte Ackermann is a Senior Market Risk Manager and Director at Raiffeisen Bank International AG, where she has worked since 2008. She holds a Mag. (FH) from Fachhochschule des BFI Wien and has studied at both WU (Wirtschaftsuniversität Wien) and the University of South Australia.
Work at Raiffeisen Bank International
Brigitte Ackermann has been employed at Raiffeisen Bank International AG since 2008. She holds the position of Senior Market Risk Manager and Director. In this role, she is responsible for overseeing market risk management strategies and ensuring compliance with regulatory requirements. Her tenure at the bank spans over 16 years, during which she has contributed to the development and implementation of risk management frameworks.
Education and Expertise
Brigitte Ackermann pursued higher education at multiple institutions. She studied at Fachhochschule des BFI Wien from 1998 to 2002, where she earned a Mag. (FH) degree. Additionally, she attended WU (Wirtschaftsuniversität Wien) for 11 months in 2001. She also studied at the University of South Australia, further enhancing her academic background. This diverse educational experience has equipped her with a solid foundation in finance and risk management.
Background
Brigitte Ackermann's professional background is centered around market risk management within the banking sector. Her career at Raiffeisen Bank International AG has allowed her to develop expertise in assessing and mitigating financial risks. Her educational pursuits in finance and related fields have contributed to her understanding of market dynamics and risk assessment methodologies.
Professional Experience
With over 16 years of experience at Raiffeisen Bank International AG, Brigitte Ackermann has developed a comprehensive understanding of market risk management. Her role as Senior Market Risk Manager and Director involves strategic decision-making and risk assessment. This extensive experience positions her as a knowledgeable professional in the field of market risk within the banking industry.