Gega Todua

Risk Methodology Lead @Deutsche Bank

Berlin, DE
MOBILE NUMBERS
+91 *********19

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WORK HISTORY

Oct 2025 — Present

Risk Methodology Lead @Deutsche Bank

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Berlin, DE

EDUCATION

N/A

Charles University

Doctor of Philosophy - PhD, Economics and Econometrics

2014 — 2022

CERGE-EI

Doctor of Philosophy - PhD, Economics and Econometrics

2010 — 2012

International School of Economics at Tbilisi State University

Master of Arts - MA, Economics

2012 — 2014

CERGE-EI

Master of Arts - MA, Economics

ABOUT GEGA TODUA

With extensive experience spanning data analytics, risk management, and academia, I bring a robust skill set to my role as a Risk Portfolio Specialist at Deutsche Bank. Specializing in credit risk stress testing and credit risk analysis using Python/PySpark, I collaborate with cross-functional teams to ensure regulatory compliance and efficiency. My previous roles as a Model Validation Specialist at a Deutsche Bank and Credit Risk Modeler at Moody\'s Analytics have equipped me with extensive expertise in credit risk model development and quantitative validation.

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Gega Todua — Risk Methodology Lead at Deutsche Bank in Berlin, DE | Unifers