Risk and Back Office

Dmitry Yakovlev

Dmitry Yakovlev

Dmitry Yakovlev

Dmitry Yakovlev joined Wermuth Asset Management in 2011, where he is responsible for market risk and stock settlement issues. Dmitry is a certified Financial Risk Manager (GARP) and has a degree in mathematics (mathematical methods in economics).Prior to WAM, Dmitry worked as a business and technology analyst at EGAR Technology and Bank URALSIB while also having experience as a risk manager at Bank ZENIT.

Daria Kiseleva

Daria Kiseleva

Daria Kiseleva

In 2011, Daria Kiseleva joined Wermuth Asset Management as Back Office Specialist to provide full-on support for settling operations and transaction processing.Prior to joining Wermuth Asset Management, Daria spent almost three years in BNP Paribas CIB Russia where she was a trainee in ALM Treasury, and then became involved in Product Control and Reconciliation within the Finance Department. Daria is studying at the All-Russian Academy of Foreign Trade under the Ministry of Economic Development of the Russian Federation specializing in world economy and finance, where she will graduate in June 2012.