Andrey Yagafarov
Angestellt, Senior ERM Risk Manager, NN Group
Abschluss: Master of Science (MSc), University of London
Utrecht, Niederlande
Über mich
Expert in quantitative, qualitative, and regulatory aspects of risk management within insurance. My passion is to drive change within insurance, finance and risk areas through combination of broad technical expertise and interpersonal and organizational skills.
Werdegang
Berufserfahrung von Andrey Yagafarov
Bis heute 1 Jahr und 3 Monate, seit Apr. 2023
Senior ERM Risk Manager
NN Group
1 Jahr, Apr. 2022 - März 2023
Lead risk analyst
NN Group
Responsible for correctness and interpretation of the Solvency Capital Requirement calculations for the group and the local entities
4 Jahre und 1 Monat, März 2018 - März 2022
Chief Risk Officer
Allianz Tiriac Asigurari
- Responsible for quantitative and qualitative risk management within the company - Risk oversight of the Allianz-Tiriac Pension Fund (a full subsidiary of the Allianz-Tiriac Asigurari) - Project management: IFRS 17/9 implementation, strategic transformation project, Balance Sheet Review
1 Jahr, Jan. 2021 - Dez. 2021
Advisor
Cooper Pet Care
Advisor to an early stage startup on all matters related to insurance, in particular, legal framework (licensing, insurance distribution, cross-border operations (freedom of services, freedom of establishment)), insurance products, underwriting, partnerships with underwriting carriers
3 Jahre und 8 Monate, Aug. 2014 - März 2018
Market risk model validation analyst
Allianz
- Implementation of Model Governance within Allianz Group Risk as well as Allianz risk community - Support in interfacing with the supervisors on model governance and model change process - Responsible for validation of Market Risk and Group Aggregation models - Coordination of the minor model change process for Allianz Group and the Internal Model entities
2 Jahre und 9 Monate, Nov. 2011 - Juli 2014
Manager
Deloitte Netherlands
Financial risk management advisory focusing on quantitative and regulatory aspects of risk management within insurance and other financial institutions.
2 Jahre und 10 Monate, Jan. 2009 - Okt. 2011
Senior Model Risk Analyst
ING
- Leading qualitative and quantitative assessment of major risk management, hedging and product cashflow models within ING Insurance - Groupwide implementation of model validation activities in the context of Solvency II
1 Jahr und 2 Monate, Nov. 2007 - Dez. 2008
Quantitative Risk Analyst
ING Investment Management
1 Jahr und 6 Monate, Juni 2006 - Nov. 2007
Actuarial Analyst
ING Life Insurance Russia
1 Jahr und 9 Monate, Okt. 2004 - Juni 2006
Actuarial Analyst
Slovenica Life
Ausbildung von Andrey Yagafarov
4 Jahre und 4 Monate, Sep. 2008 - Dez. 2012
Financial management
University of London
Financial management, international finance, risk management, corporate finance, corporate governance, econometrics
4 Jahre und 10 Monate, Sep. 1999 - Juni 2004
Mathematik
Lomonosov Moscow State University
Mathematik, Wahrscheinlichkeitstheorie, Finanzmathematik, Versicherungsmathematik
Sprachen
Russisch
Muttersprache
Englisch
Fließend
Niederländisch
Gut
Deutsch
Gut
Slovene
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