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- Faculty of Finance»
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- Department of Banking and Insurance»
- Academic Staff»
- Kornyliuk Roman Vasylovych
Roman Kornyliuk Department: | Department of Banking and Insurance |
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Position: | Professor |
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Teacher degree: | none |
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Degree: | Doctor of Economics |
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Teaching Experience: | 17 |
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Roman Kornyliuk, D.Sc., is an economist with 17 years of general professional experience in developing economic research, rating methodology and data analytics in banking and finance, especially 12 years in lecturer position at KNEU. Now, he is Professor at banking and insurance department of KNEU and Financial Analyst at YouControl. In 2020 he received a D.Sc. degree in finance, defended his doctoral thesis "Systemic Risk in Banking". In 2011 he received a Ph.D. degree in finance, defended his dissertation on "Foreign banks in the banking system of Ukraine" . Roman is a lecturer of the "Money and Credit" course, co-author of the course "Banking System", moderator of the bank's discussion club of students, teachers and practitioners of the financial market, author of the website about the banking analytics in Ukraine www.bankografo.com. Roman Kornyliuk combines scientific and pedagogical activity with advising business media on solvency ranking of banks. Starting from 2009 on the basis of developed authoring techniques, the solvency ranking of banks in Ukrainian media are regularly calculated. He worked on a numerous common projects with mass media on banking, financial stability, global economy, where he and his research team provide firm- and market-level analytics based on the open data sources. |
 Department: | Department of Banking and Insurance |
---|
Position: | Professor |
---|
Teacher degree: | none |
---|
Degree: | Doctor of Economics |
---|
Teaching Experience: | 17 |
---|
Biography: | |
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Roman Kornyliuk, D.Sc., is an economist with 17 years of general professional experience in developing economic research, rating methodology and data analytics in banking and finance, especially 12 years in lecturer position at KNEU. Now, he is Professor at banking and insurance department of KNEU and Financial Analyst at YouControl. In 2020 he received a D.Sc. degree in finance, defended his doctoral thesis "Systemic Risk in Banking". In 2011 he received a Ph.D. degree in finance, defended his dissertation on "Foreign banks in the banking system of Ukraine" . Roman is a lecturer of the "Money and Credit" course, co-author of the course "Banking System", moderator of the bank's discussion club of students, teachers and practitioners of the financial market, author of the website about the banking analytics in Ukraine www.bankografo.com. Roman Kornyliuk combines scientific and pedagogical activity with advising business media on solvency ranking of banks. Starting from 2009 on the basis of developed authoring techniques, the solvency ranking of banks in Ukrainian media are regularly calculated. He worked on a numerous common projects with mass media on banking, financial stability, global economy, where he and his research team provide firm- and market-level analytics based on the open data sources. |
Department: | Department of Banking and Insurance |
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Areas of research: | - systemic risk in banking
- bank credit ratings
- global banking;
- foreign banks in Ukraine
- deposit business and bank funding
- product management in banking;
- strategic business planning;
- corporate financial analysis.
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Uploaded files: | 0 |
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Publications: | Google Scholar web page: 
Main publications: - Kornyliuk R., Kornyliuk A. (2018), Ukrainian Banks’ Business Models Under Systemic Risk, CEUR Workshop Proceedings, Volume 2105, 2018, pages 124-138, http://ceur-ws.org/Vol-2105/10000124.pdf
- Rashkovan V., Kornyliuk R. (2015), Concentration of Ukraine's Banking System: Myths and Facts, Visnyk of the National Bank of Ukraine, Vol. 234, pages 6-38, https://bank.gov.ua/doccatalog/document?id=34345282
- Kornyliuk R. (2014), Early Warning Indicators of Defaults in the Banking System of Ukraine, Journal of european economy, Vol. 13, № 4, pages 333-348, http://nbuv.gov.ua/UJRN/jeea_2014_13_4_3
- Ivasiv I., Maksymova A., Kornyliuk R. (2014), Macroeconomic Stress-testing of Banks: Monograph, Kyiv, KNEU, 192 pgs. [In Ukrainian]
- Kornyliuk R., Ivasiv I., Dyba O. (2012), Foreign Banks in Ukraine: impact and regulation: Monograph, Kyiv, KNEU, 234 pgs. [In Ukrainian]
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Disciplines taught in the 2024/25 academic year: - “Product management in the bank” (bachelors, elective, OP ‘Banking business’, ‘Financial business management’)
- “Project Management in Financial Business” (bachelors, elective, ‘Financial Business Management’),
- “Compliance Management in Financial Business” (bachelors, elective, ‘Banking Business’, ‘Financial Business Management’),
- “Risk-oriented management of financial institutions” (Master's degree, regulatory, ‘Banking Management’, ‘Risk Management of Financial Business’),
- “Macroprudential Analysis (Master's degree, elective, OP ‘Banking Management', OP ‘Financial Business Risk Management', OP ‘Insurance and Financial Security').
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