Brian Brown
Deutsche Bank
- Brian Brown is Head of UKI Liquidity Risk Management at Deutsche Bank in London, a position he has held since 2018. In this role, he is responsible for overseeing liquidity risk across the UK and Ireland, bringing a strong focus to balance sheet resilience and regulatory compliance. Prior to joining Deutsche Bank, Brian served as Head of Group Liquidity Risk Management and Control at Nordea Bank in Copenhagen for 2.5 years, where he led liquidity risk oversight at a group-wide level. Brian spent more than 22 years at Merrill Lynch and Bank of America Merrill Lynch, holding a range of senior Treasury roles across New York and London. His experience spans capital management, subsidiary capital oversight, and liquidity risk management, giving him a broad and deep understanding of global banking operations. He holds an MBA from Columbia Business School in New York and a Bachelor’s degree from Georgetown University in Washington, DC. Provide your feedback on BizChat
Speaker on
Action-oriented stress calibration and reverse testing in treasury
Panel discussion
Liquidity risk
06/30/2026
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15:30 - 16:10
