Financial risk management
Prof. Periša Ivanović was born at 1963 in Novi Sad, Serbia, where he has finished elementary school and High Economic School – course: Financial Technician. He has finished studies at Economic Faculty Subotica (Novi Sad) – course: International economic relations, with thesis: Liquidity of banks. Master studies he has enrolled 1987 on Belgrade Economic Faculty – on course: Monetary economy and banking. Master thesis (Hedging at Foreign Exchange Market) he has defended at 1992 with mentor Prof. Milutin Ćirović in Belgrade University – Faculty of Economics Belgrade. Phd thesis (Banks and financial markets) he has defended at 2001 with mentor Prof. Stojan Dabić in Podgorica University – Faculty of Economics Podgorica.
During his long professional career he has been member of Board of Directors at Belgrade Stock Exchange; member of Serbian Association of Dealers/Brokers; Member of National Team for new financial market legislative (1996/1997); member of National Team for new payment system (2001/2003); member of Councel for Education at ASB; member of Councel for Risk Management at ASB; member of Councel for Marketing at ASB; President of Association of economists of Novi Sad: etc.
Professional banking career Prof. Ivanović has started in National Bank of Yugoslavia as supervisor (1988-1994). From 1995-2000 he has been employed in Vojvođanska bank as Head of Sector for securities trading and after that as Executive director for Treasury. In 2000-2001 he is Deputy General Manager of Kulska bank. During 2003-2004 he was Deputy General Manager of Vojvođanska bank. In 2004-2005 he has been employed in Delta bank – Intesa Bank as Advisor of General Manger. Same position he had in Panonska bank during 2006-2007. From 2007-2015 he has been Head of Basel II and risk management transformation at Vojvođanska bank. From 2016 he is being employed in AIK Bank as co-member of Executive Board for Retail and SME business.
Professional teaching career Prof. Ivanović has started at 1994-2003, on High Business School, teaching subject: Banking. From 2003-2015 he was teaching subject: Theory of money and banking; and Risk Management, at Educons University Novi Sad, Faculty for business services. During 2004-2005 he has been engaged on FEFA Faculty for Finance and Administration Belgrade on subjects: Banking management; and Corporate finance. From 2005 until now he has been engaged on Belgrade Banking Academy – Belgrade, Serbia, as a full professor from 2012. He is teaching Risk and capital management and Financial engineering. Up to now he has issued 4 books as author covering issues as money, banking, and risk and capital management.