RSS
Логотип
Баннер в шапке 1
Баннер в шапке 2

Biography

Vladimir is a graduate of the University of Vienna in the areas of Corporate Finance and Financial Markets and International Business Administration.

He worked at headquarters, RBI where he went from data a customer service specialist to a loan portfolio manager. In the last position, he provided monitoring of the concentration of economic capital and management of the loan portfolio in a number, countries including in,,, and Bulgaria. Romania Great Britain Italy Turkey

2021: Head of Portfolio Analysis and Redundancy at Raiffeisen Bank

Vladimir Grudev joined the team of integrated risk management Raiffeisen Bank as the head of the portfolio analysis and redundancy department. This was announced on August 18, 2021 in Raiffeisen Bank.

In this position, Vladimir's main tasks are to find optimal risk/return ratios, optimize capital consumption, including by switching to internal ratings when calculating Russian reserves, automating and improving the availability of quality indicators for loan portfolios.

File:Aquote1.png
"Vladimir's extensive experience and deep industry expertise are very valuable to us. After all, our team faces ambitious tasks related to the development of a risk assessment and management strategy, "said Sergey Grib, head of the integrated risk management department at Raiffeisen Bank.
File:Aquote2.png