Dragutin Vukovic, Cfa
About Dragutin Vukovic, Cfa
Dragutin Vukovic is a Professional Asset Based Risk Manager at Raiffeisen Bank International AG in Vienna, Austria, with a focus on managing risk for structured finance products. He has extensive experience in credit risk management and financial consulting, supported by a Master's degree in Accounting and Finance from the University of Belgrade.
Work at Raiffeisen Bank International
Currently, Dragutin Vukovic serves as a Professional Asset Based Risk Manager at Raiffeisen Bank International AG in Vienna, Austria. He has held this position since 2021, contributing to the Group Corporate Credit Risk Management team. His role involves managing risk for structured finance products, including collateralized loan obligations (CLOs), consumer assets, and securitization transactions. Vukovic's expertise in financial restructuring and modeling supports the bank's risk management strategies.
Previous Experience in Banking
Before joining Raiffeisen Bank International, Dragutin Vukovic gained extensive experience in the banking sector. He worked at ProCredit Bank a.d. Belgrade in the Young Bankers Program for five months in 2015-2016. He then served as a Credit Analyst at Raiffeisen banka a.d. Beograd for two months in 2016. Following this, he held the position of Corporate Credit Risk Manager from 2016 to 2017 and worked as an Early Warning System Officer from 2017 to 2019. Vukovic also worked at EY as a Senior Consultant in Strategy and Transactions from 2019 to 2021.
Education and Expertise
Dragutin Vukovic holds a Master's degree in Accounting and Finance from the Faculty of Economics, University of Belgrade, which he completed from 2014 to 2015. He also earned a Bachelor's degree in Accounting, Auditing, and Financial Management from the same institution, studying from 2010 to 2014. His educational background provides a strong foundation for his expertise in risk management, particularly in structured finance and the ECB methodology for assessing banking systems.
Professional Development and Skills
Vukovic demonstrates a strong commitment to lifelong learning and continuous professional development. His skills include financial restructuring and modeling, which are essential for effective risk management in banking. His specialization in managing risk for structured finance products positions him as a knowledgeable professional in the field, capable of navigating complex financial transactions.