Bank of Lithuania

The Risk Management and Reporting Division is part of the Market Operations Department. It manages financial risk and makes preparations for strategic investment allotment in order to implement the Bank of Lithuania's financial assets management policy objectives. In preparing reports on financial assets investment and risks, it assesses the efficiency of risk limits, return and risk sources, as well as conducts stress tests. Together with the European System of Central Banks (ESCB), the division manages financial risks of monetary policy operations, aiming at effective implementation of monetary policy objectives.

Head of Division – Dainius Grikinis 

Last update: 16-04-2024