Aliya Maximova
About Aliya Maximova
Aliya Maximova is the Head of Division at Vtb, where she has worked since 2017. She holds a Bachelor's degree in Economics from Ufa State Aviation Technical University and an MBA from Indiana University - Kelley School of Business.
Work at VTB
Aliya Maximova has held significant positions at VTB since 2014. She currently serves as the Director and has been in this role for ten years. Additionally, she has been the Head of Division for seven years, overseeing various departmental functions in Saint Petersburg, Russia. Her responsibilities include managing strategic initiatives and ensuring effective risk management practices within the organization.
Education and Expertise
Aliya Maximova earned her Bachelor’s degree in Economics from Ufa State Aviation Technical University, where she studied from 2003 to 2008. She furthered her education by obtaining a Master of Business Administration from Indiana University - Kelley School of Business, completing her studies from 2014 to 2016. Her academic background provides her with a solid foundation in economic principles and business management.
Background
Before joining VTB, Aliya Maximova gained experience in various financial institutions. She worked at Absolut Bank as a Credit Expert from 2006 to 2008 in Moscow. Following this, she held the position of Assistant Manager at the Strategic Risks Department of Unicredit Bank - Russia from 2010 to 2012. Additionally, she briefly worked at Nordea in Helsinki as an Assistant Manager in the Credit Risk Department for three months in 2010. Her career continued at Gazprombank, where she served as a Project Manager in the Banking Risks Department from 2012 to 2014.
Professional Experience
Aliya Maximova has accumulated diverse professional experience in the banking sector. Her roles have included credit risk assessment, strategic risk management, and project management. This breadth of experience across different banks in Russia and Finland has equipped her with a comprehensive understanding of the financial industry's risk landscape.