Mikhail Sizov
I work at T Bank as Lead Analyst, heading the Structural Risk Modeling team.
Before that I spent almost three years at Raiffeisen Bank Russia as a Senior Quantitative Analyst (Vice President) in Financial Markets Risk Management, and earlier worked on risk modeling at the Central Bank of the Russian Federation.
I studied at the Higher School of Economics — MSc in Data Science and a dual BSc in Economics and Finance with the London School of Economics (ICEF). FRM Part I & II certified.
Outside the day job, I taught Quantitative Finance and Asset Pricing & Financial Markets at HSE.
What I enjoy most is building things in fintech, investments and risk — small products that turn analytical ideas into something you can actually use.