Pavel Antonov is an experienced finance professional with a strong background in credit risk management and financial oversight. Currently serving as a Manager at HSBC Global Banking and Markets since September 2015, Pavel has previously held roles as Vice President at Morgan Stanley, where responsibilities included credit oversight of FXEM sales and trading in EMEA and managing risk for a regulated bank-subsidiary in Russia. Other significant positions include Senior Risk Manager at Bank ZENIT and Associate Professor in Financial Risk Management at the National Research University - Higher School of Economics. Pavel holds a PhD in Economics from the Higher School of Economics and an MBA from Goethe University Frankfurt, along with internships at various financial institutions, showcasing a comprehensive expertise in finance and risk assessment.
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