Brian Brown

Head of Liquidity Risk Management – UKI/ Investment Bank, Deutsche Bank

Prior to joining Deutsche Bank in 2018 was Head of Group Liquidity Risk Management at Nordea Bank (2016-2018) in Copenhagen and prior to that spent over 22 years at Merrill Lynch/Bank of America holding various Treasury roles in New York and London.  Bachelors degree from Georgetown University and MBA from Columbia Business School.

All Sessions by Brian Brown