Floris Welcker

Angestellt, Executive Director, Danske Bank A/S

Kopenhagen, Dänemark

Fähigkeiten und Kenntnisse

Equity Research
Structuring
Investment Banking
Leveraged Finance
Credit & Loan Documentation
Mergers & Acquisitions
Valuation
Banking
Corporate Finance
Strategy Development
Private Equity
Strategic Consulting
Quantitative Finance
Econometrics
Dutch language
M&A
Strategic Partners

Werdegang

Berufserfahrung von Floris Welcker

  • Bis heute 1 Jahr und 3 Monate, seit Apr. 2023

    Executive Director

    Danske Bank A/S

    Group M&A

  • Bis heute 9 Jahre und 10 Monate, seit Sep. 2014

    Corporate Development

    ABN AMRO Bank N.V.

  • 3 Jahre und 2 Monate, Juli 2011 - Aug. 2014

    Credit Portfolio & Relationship Manager

    ABN AMRO Bank N.V.

    Credit Portfolio & Relationship Manager for Large (>EUR 500 mln turnover) Corporate and Leveraged Finance Clients. Origination of new deals, negotiation of (LMA) documentation for syndicated deals and bilateral facilities. Portfolio and Relationship Management of the existing Retail & Consumer portfolio, thereby analyzing (monthly) trading updates, impact on credit ratings and determine whether deals are still priced correctly (or have to be restructured in the near term).

  • 2 Jahre und 11 Monate, Aug. 2008 - Juni 2011

    Equity Research Analyst

    Royal Bank of Scotland

    Assisting the Small / Mid - cap Equity Research Team based in Amsterdam, having written research on: Mobistar (initiation of coverage), Delta Lloyd (IPO Prospectus), European Chemicals sector, Dutch Retail (BeterBed & Macintosh), UPM (initiation of coverage)

  • 1 Jahr, Sep. 2007 - Aug. 2008

    Investment Banking Trainee

    ABN Amro

    Started as a Graduate at the Private Investor Products department, doing sales/trading of structured retail products.

  • 2 Monate, Juni 2006 - Juli 2006

    Summer intern / partime job

    Watson Wyatt

    Actuarial & Asset / Liability work

Ausbildung von Floris Welcker

  • 7 Monate, März 2007 - Sep. 2007

    Quantitative Risk Management

    ETH Zurich

    Swiss Banking Institute

  • 2 Jahre und 1 Monat, Sep. 2005 - Sep. 2007

    Quantitative Finance / Econometrics

    Erasmus University Rotterdam

    Markov-Switching model Fx-rates Portfolio Management Matlab

  • 5 Jahre und 1 Monat, Sep. 2000 - Sep. 2005

    Economics and Law

    University of Utrecht

    Macro-economics Corporate Finance Basel II regulation Valuations

Sprachen

  • Englisch

    Fließend

  • Deutsch

    Muttersprache

  • Niederländisch

    Muttersprache

  • Französisch

    Gut

Interessen

Sailing
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