London, United Kingdom
Risk Ratings Modelling Leader at GE Capital
Banking
Education
University of London 2009 — 2013
Bachelor of Laws (LLB), Law
CFA Institute 2004 — 2010
CFA, Chartered Financial Analyst
Global Association of Risk Professionals (GARP) 2009 — 2009
FRM, Financial Risk Manager
New York University 2006 — 2007
PhD (Incomplete), Finance
Georgia Institute of Technology 2003 — 2005
MSQCF, Master of Quantitative and Computational Finance (Financial Engineering)
Georgia Institute of Technology - Georgia Tech College of Management 2003 — 2005
MBA, Finance, Accounting
Georgia Institute of Technology 2002 — 2004
MS, Engineering
Indian Institute of Technology, Delhi 1998 — 2002
BS, Engineering
Experience
GE Capital February 2015 - Present
Royal Bank of Scotland March 2010 - January 2015
Barclays January 2010 - March 2010
Royal Bank of Scotland July 2008 - December 2009
Morgan Stanley August 2007 - July 2008
NYU Stern School of Business September 2006 - August 2007
Wachovia Bank May 2005 - August 2006
Mediathink May 2004 - July 2006
Georgia Institute of Technology January 2005 - December 2005
Georgia Institute of Technology August 2002 - April 2005
Skills
Risk Analytics, VBA, Fixed Income, Big Data Analytics, Algorithms, R, SAS, Banking, Basel II, Machine Learning, Portfolio Management, Data Science, Economic Capital, Stress Testing, Trading, Data Modeling, Risk Management, Data Strategist, Big Data, Credit Risk, Team Leadership, Statistical Computing, Financial Engineering, Interest Rate..., Management, Market Risk, Statistics, Financial Risk, Scientific Writing, Financial Economics, Evolutionary Algorithms, VAR, Econometrics, SQL, Quantitative Analytics, Derivatives, Statistical Modeling, PD, LGD, EAD Modelling, Evolutionary Biology