Raluca Isac
About Raluca Isac
Raluca Isac is a Senior Credit Portfolio Manager at Raiffeisen Bank International AG in Vienna, Austria, where she has worked since 2013. She has a background in risk management, having previously served as a Country Risk Manager and Country Risk Analyst at the same institution.
Work at Raiffeisen Bank International
Raluca Isac has been employed at Raiffeisen Bank International AG since 2013, serving as a Senior Credit Portfolio Manager. In this role, she is responsible for managing credit portfolios and assessing credit risk. Prior to this position, she worked as a Country Risk Manager from 2007 to 2010 and as a Country Risk Analyst from 2010 to 2013. Her extensive experience at Raiffeisen Bank spans over a decade, contributing to her expertise in credit and risk management.
Education and Expertise
Raluca Isac's educational background includes studies at multiple institutions. She attended the Vienna University of Economics and Business in 2001. Additionally, she studied at Academia de Studii Economice din București from 1998 to 2002. Her foundational education was completed at the German School Bucharest from 1986 to 1998. She also studied at Leopold-Franzens Universität Innsbruck, further enhancing her academic qualifications.
Background
Raluca Isac has a diverse educational and professional background. She completed her secondary education at the German School Bucharest before pursuing higher education in economics. Her career in banking began at Raiffeisen Bank International AG, where she has held various roles focusing on country risk and credit portfolio management. This progression highlights her commitment to the financial sector and her development within the organization.
Professional Experience
Raluca Isac has accumulated significant professional experience in the banking industry. Her tenure at Raiffeisen Bank International AG includes roles as a Country Risk Manager and Country Risk Analyst, each lasting three years. Since 2013, she has been a Senior Credit Portfolio Manager, where she applies her knowledge of credit risk and portfolio management to support the bank's objectives.