Jonathan Bisset
About Jonathan Bisset
Jonathan Bisset is a Credit Risk Analyst with extensive experience in the banking sector. He has worked at Raiffeisen Bank International AG since 2014 and previously held positions at Erste Group and as a security programme manager at the post office.
Work at Raiffeisen Bank International
Jonathan Bisset has been employed at Raiffeisen Bank International AG as a Credit Risk Analyst since 2014. In this role, he is responsible for assessing and managing credit risk within the bank's portfolio. His experience in this position spans over ten years, during which he has contributed to the bank's risk management strategies and compliance with regulatory requirements. Raiffeisen Bank International is a prominent banking institution based in Vienna, Austria, known for its extensive network and services across Central and Eastern Europe.
Previous Experience in Credit Risk Analysis
Before joining Raiffeisen Bank International, Jonathan Bisset worked at Erste Group as a Credit Risk Analyst from 2011 to 2014. His responsibilities included evaluating creditworthiness and analyzing financial data to inform lending decisions. Prior to that, he served as a Security Programme Manager at the Post Office from 2006 to 2011, where he managed security protocols and risk assessments.
Education and Expertise
Jonathan Bisset holds a Master of Arts degree from Leeds Beckett University, which he completed in 2006. He also studied at the University of Glasgow from 1988 to 1991, where he gained foundational knowledge that supports his career in finance and risk management. His educational background provides him with the analytical skills necessary for his role as a Credit Risk Analyst.
Background
Jonathan Bisset has a diverse professional background that spans various roles in risk management and analysis. His career began with a focus on security management at the Post Office, transitioning into credit risk analysis at Erste Group and later at Raiffeisen Bank International. This progression highlights his adaptability and expertise in managing financial risks.