Regina Deisemann
Head of Cash & Liquidity, Vice President Group Liquidity Management & Treasury Operations (Vorwerk SE & Co. KG)
Regina Deisemann has been in charge of the Cash & Liquidity Department since January 1, 2018. Until October 27, 2022, she served on the Executive Board of VDT e.V. Since then, she has overseen the department’s operations as a member of the Executive Committee. She has been the spokesperson for the Executive Committee since November 2025.
Regina Deisemann began her career by training as a bank clerk before joining the corporate audit department at Vorwerk SE & Co. KG following her studies in economics. There, she gained experience conducting annual audits, including consolidation, compliance audits, and system audits. Her IHK certification as an international accountant proved valuable in this regard.
As Vice President of Group Liquidity Management & Treasury Operations, she is currently responsible for group-wide liquidity management at Vorwerk, including the design of payment processes, bank relationship management, and the provision of corporate treasury services. While continuing to work, she participated in a strategic leadership program at Ashridge Business School in London through the Vorwerk Academy.
Prior to her appointment to the Executive Board in January 2018, Regina Deisemann had been actively involved in the Cash & Liquidity division of VDT e.V. since 2012. On behalf of VDT e.V., she serves as a contributing member of CGI-MP Working Group 5 – Bank Services Billing, and she represents VDT e.V. in the Deutsche Bundesbank’s Payment Transactions Forum, among other roles. At the Frankfurt School of Finance & Management gGmbH, she served as an instructor for the practical components of the liquidity management curriculum as part of the VDT postgraduate program Certified Corporate Treasurer.