Arkhipov Sergey

Candidate of Economic Sciences, Executive Director, Financial Markets Operations Department at Rosselkhozbank JSC

Worked at the Institute from 1995 through 2001 as a Researcher at the Center for Macroeconomics and Finance.
After leaving the Institute:

Professional experience

  • 1995 – 2001: Institute for the Economy in Transition (IEP), Researcher at the Macroeconomics and Finance department
  • 2001 – 2003: CB Mosnarbank, Head of Risk Analysis Department, previously Senior credit analyst at the Risk management department
  • 2004 – 2005: Moscow Narodny Bank Ltd. (London), Senior credit representative in the Moscow office.
  • 2006 – 2007: VTB Bank Europe plc., Debt manager, Capital markets department
  • 2007 – 2009: JSC VTB Bank. Director of the Transaction Preparation and Structuring Department.
  • 2010 – 2013: Renaissance Capital. Director, Head of Securitized Products Structuring.
  • 2014 – 2023: JSC Bank RUSSIA. Head of the Investment Banking Department, previously Head of the Investment Banking Department.
  • 2023–2024: Trading company in the UAE, Head of the Financial Operations Department.
  • 2025 – present: Rosselkhozbank JSC, Executive Director, Financial Markets Operations Department.

Education

  • 1991-1995: Lomonosov Moscow State University, Economics Faculty, bachelor’s degree
  • 1995-1997: State Academy of Management. Master’s degree with Financial Management specialization.
  • 1997-1999: Institute of Financial Risk Management. Master's degree with Financial Risk Manager specialization.
  • 1998-2000: Postgraduate course of the State Academy of Management, Candidate of Economic Sciences.

COURSES AND CERTIFICATES

  • 2025: Certificate with honors for completing the course “Python Generation, Advanced Course”.
  • 2024: Certificate of qualification as a securities management specialist.
  • 2024: Certificate of qualification as a broker-dealer.
  • 2013: FSFM Russia Certificate 1.0.
  • 2007: Euromoney course on cash flow modeling in asset securitization transactions.
  • 2007: Euromoney course on preparing documentation for debt instrument issues on foreign capital markets.
  • 2006: Fitch Training course on credit risk analysis in ABS and RMBS asset securitization transactions.
  • 2006: Euromoney course on capital market fundamentals.
  • 2002: Arthur Andersen course on Financial Analysis II.
  • 2001: Arthur Andersen course on Financial Analysis for Credit Analysts.

FOREIGN LANGUAGES

  • English

Professional interests

  • Derivative financial instruments on currencies, interest rates, and exchange-traded commodities.
  • High-frequency trading.
  • Financial markets.