MI

Marija Ivanovic

Financial Risk Analyst at Volvofinans Bank AB

Marija Ivanovic has extensive experience in financial risk analysis and business intelligence. Marija has worked at Ziklo Bank as a Financial Risk Analyst, focusing on credit risk modeling and stress-testing. Additionally, Marija has experience as a System Developer, specializing in Basel IV and IFRS 9 compliance at Ziklo Bank. Prior to that, Marija worked as an Actuary at TryggHansa, where Marija developed pricing and reserves prediction models. Marija also has a background in IT support and quality management at Takovo Insurance Company. With a Master's degree in Actuary and Mathematical Science, Marija has a strong foundation in mathematics and analytical skills.

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