Ivan Lebedev
Risk Manager at REGION Group- Claim this Profile
Click to upgrade to our gold package
for the full feature experience.
-
Английский Limited working proficiency
-
Русский Native or bilingual proficiency
Topline Score
Bio
Credentials
-
Инструктаж по ПОД/ФТ Международный Финансовый Центр
Международный финансовый центрJul, 2014- Nov, 2024
Experience
-
REGION Group
-
Russian Federation
-
Financial Services
-
1 - 100 Employee
-
Risk Manager
-
Sep 2020 - Present
-
-
-
JSC "NPF "FUTURE"
-
Moscow, Russia
-
Head Of Operational Risk
-
Dec 2019 - Sep 2020
npff.ru region.ru Group REGION npff.ru region.ru Group REGION
-
-
-
REGION Group
-
Moscow, Russian Federation
-
Head of Leasing Risks
-
Sep 2017 - Dec 2019
www.region.ru www.region.ru
-
-
-
JSC "NPF "FUTURE"
-
Moscow, Russian Federation
-
Head Of Market Risk
-
Dec 2016 - Aug 2017
Providing Market Risk Policy, stress-testing, fair value methods defining. Communication with auditors, Bank of Russia, rating agencies in zone of responsibility. Providing Market Risk Policy, stress-testing, fair value methods defining. Communication with auditors, Bank of Russia, rating agencies in zone of responsibility.
-
-
-
Uralsib
-
Russian Federation
-
Financial Services
-
400 - 500 Employee
-
Head of Risk & Compliance
-
Jul 2014 - Dec 2016
Head of risks and compliance Development and implementation of policies in management of: - Credit risk; - Market risk; - Credit portfolio management (corporate & retail); - Operational and Compliance; Development of measures, methods and procedures for analysis, assessment, control and monitoring of existent and potential risks. Communication with asset management companies, CBR (Central Bank of Russia), rating agencies. Stress testing of core Fund risks. Development and applying of methods of risks limitation, mitigation and hedging. Developing the IT requirements specification. Show less
-
-
-
Bank SOYUZ
-
Banking
-
1 - 100 Employee
-
Head of Risk
-
May 2009 - Jun 2014
Development and implementation of policies in management of: - Credit risk (internal rating model, product development, corporates & retail) - Financial risks (liquidity risk, interest rate risk, foreign currency risk, counterparty risk); - Risk allocation and Capital adequacy; - Credit portfolio management (corporate & retail); - Operational and Fraud risks; - Limits policies. Development of measures, methods and procedures for analysis, assessment, control and monitoring of existent and potential risks. Participation in Credit committe, member of ALCO and NPL committees. Communication with auditors, Bank of Russia, rating agencies in zone of responsibility. Calculation of Loan Loss depreciation according to IFRS. Calculation of Loan Loss Provisions according to national standards. Planning, forecasting and calculation of impact of planned changes in Bank's activity on Bank's risks. Stress testing of core banking risks. Development and applying of methods of risks limitation, mitigation and hedging. Developing the IT requirements specification. Show less
-
-
-
RusRating
-
Russian Federation
-
Financial Services
-
1 - 100 Employee
-
analyst
-
Nov 2008 - Apr 2009
It was improved methodologies of Russian banks credit risk analysis. Developed more than 30 Russian banks rating reports for Rating Committee; Taking part in Rating Committee; It was improved methodologies of Russian banks credit risk analysis. Developed more than 30 Russian banks rating reports for Rating Committee; Taking part in Rating Committee;
-
-
-
Bank of Moscow
-
Russian Federation
-
Real Estate
-
200 - 300 Employee
-
Head of financial markets risk control
-
Aug 2008 - Nov 2008
- Applying Reuters Kondor+, Radius, Kondor Global Risk in limit management system for Equities, Fixed Income & Repo; - Defining software for Trust operations control. - Applying Reuters Kondor+, Radius, Kondor Global Risk in limit management system for Equities, Fixed Income & Repo; - Defining software for Trust operations control.
-
-
-
Uralsib
-
Russian Federation
-
Financial Services
-
400 - 500 Employee
-
Head of counterparty risks, market risks, insurance company analisis
-
1994 - 2008
November 2004 – Present: Bank URALSIB (Moscow) Head of credit risk analysis of insurance companies counterparties - Defining of the RM Policy in the insurance counterparties credit risks and insurance business of URALSIB corporation; - Preparing of the reports for Credit Committee and for leadership concerning of the Insurance counterparties credit risks; - Developing of the methodologies of Insurance counterparties credit risk analysis; - Developing of procedures of Insurance counterparties credit risks management; - Preparing of the reports for leadership concerning fitting Group RM to Basel 2, Solvency 2 and CB RF regulatons requirements; - Preparing of the reports for Credit Committee and for leadership concerning of the insurance business of URALSIB corporation. - Developing of the methodologies of Banks, Administration institutes, Investment companies, Insurance counterparties credit risk analysis; - Developing of procedures of Financial counterparties credit risks and market risk management; - Developing stop-loss, margin call and country limits. - Preparing of the reports for Credit Committee and for leadership concerning of the insurance business of URALSIB corporation. - Preparing of the reports for Credit Committee, ALCO and for leadership concerning of the Banks, Administration institutes, Investment companies, Insurance counterparties credit limits; - Developing of the methodologies of bank business valuation for acquisition; - Taking part in due diligence of a potential acquirer; Show less
-
-
Education
-
Башкирский Государственный Университет / Bashkir State University
mas, math