Sergei Burok, FRM has a diverse work experience with a strong focus on market risk analysis. Sergei currently works at Exness as a Market Risk Manager, a role they began in April 2022. Prior to this, Sergei held various roles at Moscow Exchange, including Chief Market Risk Analyst from December 2020 to May 2022, Leading Market Risk Analyst from July 2019 to November 2020, and Senior Market Risk Analyst from November 2018 to June 2019. Before joining Moscow Exchange, Sergei worked as a Data Quality Analyst at Raiffeisen Bank Russia from January 2018 to December 2018. In addition, they gained teaching experience as a Teaching Assistant in Mathematical Analysis and Linear Algebra at the National Research University - Higher School of Economics from September 2014 to June 2017. Sergei also briefly worked as a Junior Specialist at the National Settlement Depository from April 2016 to September 2016.
Sergei Burok, FRM, holds a Master's degree in Financial Economics from the Higher School of Economics, specializing in the International College of Economics and Finance. Sergei obtained this degree between 2017 and 2019. Prior to their master's degree, they completed their Bachelor's degree in International Economics from the same institution, studying from 2013 to 2017.
In addition to their degrees, Sergei Burok has obtained several certifications. Sergei completed a course on "2.0 Clearing and Stock Exchanges" from the Central Bank of the Russian Federation (Bank of Russia) in April 2019. In April 2017, they also obtained the "BEC Higher A" certification from International ESOL. Furthermore, Sergei Burok is a Certified Financial Risk Manager (FRM) through the GARP FRM Program, although the specific month and year of obtaining this certification are not provided.
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