Born 8 November 1976 in Moscow.
He graduated from the Moscow State Institute of Electronic Technology and completed postgraduate studies at the Institute of Economics of the Russian Academy of Sciences.
Candidate of Economic Sciences, and Certified FRM.
Qualification Certificate 1.0 from the Federal Service for Financial Markets.
From 1997, he worked in the investment sphere; and from 1999 — in financial risk management. Since 1999: Member of the Global Association of Risk Professionals (GARP). Since 2002: Member of the Management Board at the Russian Chapter of the Professional Risk Managers’ International Association (PRMIA).
He joined the Bank of Russia in 2012.
Since 2016: Director of the Banking Regulation Department.
He is the author of over 20 publications on financial market analysis and risk management.