
Elena Meshkova
Contributing author
PhD in Economics, Associate Professor, Leading Research Fellow at the Institute of Financial Research, Faculty of Finance, Financial University

Contributing author
PhD in Economics, Associate Professor, Leading Research Fellow at the Institute of Financial Research, Faculty of Finance, Financial University
Candidate of Economic Sciences, Associate Professor, Associate Professor at the Department of Banking and Monetary Regulation, Faculty of Finance, Financial University under the Government of the Russian Federation.
Has been working at the Financial University from 1992 to the present. From 1994 to 2011, she worked as a part-time lecturer at the university, with her primary employment in commercial banks: OJSC "Promstroibank of Russia" (Deputy Director of the Securities and Corporate Finance Department), OJSC "Rosselkhozbank" (Director of the Risk Assessment and Control Department).
Meshkova E.I.'s professional and research interests cover a broad sphere, including the theory and practice of banking, risk management in financial markets, and the application of modern financial technologies in the banking business.
Meshkova E.I. collaborates with academic journals: "Banking," "Banking Services," "Finance: Theory and Practice," "Bulletin of the Institute of Economics of the Russian Academy of Sciences," and others, promoting the results of her research activities.
She has published the monograph "Interest Rate Policy in Commercial Bank Risk Management" (2018), as well as a number of academic monographs and textbooks in co-authorship. Among recent publications are: "Risk Management in Financial Markets" (edited by I.V. Larionova, M.D. Kondratenko) (2024), "The Bank in the Modern Economy" (edited by N.E. Brovkina) (2026), "Modeling the Financial Stability of Banking Groups in Russia" (E.I. Meshkova, V.A. Byvshev) (2026), "Banking" (edited by O.I. Lavrushin) (2022), and many others.