Murtaza Rai
About Murtaza Rai
Murtaza Rai is a Professional Balance Sheet Risk Manager at Raiffeisen Bank International AG, where he has worked since 2018. He has a background in economics and finance, holding master's degrees from the University of Glasgow and Vienna University of Economics and Business.
Work at Raiffeisen Bank International
Murtaza Rai has been serving as a Professional Balance Sheet Risk Manager at Raiffeisen Bank International AG since 2018. In this role, he focuses on managing and mitigating risks associated with the bank's balance sheet. Prior to this position, he worked as a Junior Balance Sheet Risk Manager at the same institution from 2016 to 2018. His experience at Raiffeisen Bank International has provided him with a strong foundation in risk management practices.
Education and Expertise
Murtaza Rai holds a Master of Science degree from WU (Vienna University of Economics and Business), which he completed from 2013 to 2015. He also earned a Master of Arts degree from the University of Glasgow, where he studied from 2008 to 2012. His educational background equips him with the necessary knowledge and skills in economics and business, contributing to his expertise in balance sheet risk management.
Background
Murtaza Rai began his career in the financial sector as a Research Associate in the Projects and Policy Research Department at the Punjab Board of Investment & Trade (PBIT) in 2013. He also gained experience at Raiffeisen Bank International AG as a Student Support in Liquidity Risk Management from 2014 to 2016. His diverse background in research and risk management has shaped his professional journey.
Professional Experience
Throughout his career, Murtaza Rai has accumulated significant experience in balance sheet risk management. His roles at Raiffeisen Bank International AG, including his current position and his previous roles as Junior Balance Sheet Risk Manager and Student Support in Liquidity Risk Management, have provided him with a comprehensive understanding of risk assessment and management strategies within the banking sector.