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Worked as a financial modeller for a global investment bank working mainly on risk models nothing major on the profit generating or trading related models. Then shifted to working in Europe with a systemic bank in Europe helping build their risk models.
Target School: Chicago Booth
Considering: London Business School, SDA Bocconi
See More Profiles For: Chicago Booth
Application Status: Open
Undergrad School: National Institute of Technology
Undergrad Major: Computer Science
GPA: 8.3/10
GMAT: 760
Age: 24, Ethnicity: Asian or Indian
Other Degree/Certification: CFA L2
Extracurriculars: Worked for a Case Study analysing Living cost in Madrid(but worked on the data analysis aspect of it based on machine learning nothing similar to consulting). Currently of an NGO
Title: Financial Modeller
Industry: Banking & Finance
Company: Top Firm
Length of Employment: 2 yrs, 2 mos
Title: Quantitative Risk Analyst
Length of Employment: 1 yr, 2 mos
Unfortunately, at my first firm, there was a crisis and was delegated and took up a particular Risk management run-cycle, generating reports and building models for the business. Shifted to a new bank which is mid-size and major bank for this country in EU and helping them setup their Model inventory.
Move into asset management mainly
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