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FRM Level 1 Guidance
Career guidance for acing FRM Level 1 exam confidently
Video meeting . 60 mins
Career guidance
1-on-1 career guidance to shape your professional path.
About me
A finance professional and FRM Level 1 candidate with a strong academic background in risk management, quantitative finance, and financial analysis. Equipped with dual bachelor's degrees in Banking, Financial Services, and Insurance (with a Minor in Risk Management) and Finance and Accounting, with demonstrated expertise in financial instruments including derivatives, fixed income securities, and commodities.
Previously worked in a client-facing role within the Risk Advisory practice at Grant Thornton Bharat LLP, contributing to risk assessments, internal control evaluations, and regulatory compliance initiatives. Skilled in financial risk modelling, portfolio analytics, and valuation, with technical proficiency in Python, and Advanced Excel. Strong command of statistical and econometric techniques, including time series forecasting (ARIMA, SARIMA), Monte Carlo simulation, and regression analysis.
Actively exploring the application of Machine Learning and Generative AI in financial risk analytics, stress testing, and investment strategies. Prior exposure to risk/financial reporting, risk advisory, financial products, equity research, and corporate finance through internships at leading firms, contributing to a comprehensive understanding of capital markets and business performance metrics.
Currently open to new opportunities in risk advisory, investment analysis, or private equity, with a focus on data-driven decision-making and strategic financial modelling.