Head of risk reporting division

Banking Sector


  • Management of division;
  • Actualization and implementation of risk analysis methodology and risk management procedures;
  • Monthly calculation of reserves according to IFRS and national standards;
  • Preparation and analysis of reports on various types of risks, as well as the development of measures to minimize them;
  • Actualization of migration matrices for bank credit products;
  • Monitoring compliance with credit limits and risk appetite;
  • Prediction of risk indicators, including the volume of the non-performing portfolio, the level of reserves, expected losses;
  • Stress testing of significant risks;
  • Data preparation for the development and calibration of scoring cards and customer rating models.


  • Higher economic (finance / mathematics) education;                                                                                        
  • At least 2 years experience in managerial position and ability to plan, delegate, and control the implementation of tasks;
  • Ability to effectively organize work in conditions of limited time;
  • Highly professional Excel and SQL knowledge;
  • Experience in conducting quantitative risk assessment;
  • Deep knowledge and understanding of regulatory acts of risk management;
  • Fluency in Russian, including the ability to conduct business correspondence.

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How to apply

You are welcome to send your CV