Aditi Lalwani
Financial Analyst @德意志银行
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WORK HISTORY
Financial Analyst @德意志银行
Pune, IN
Risk and Finance Alignment (RAFA) Team (April 2024 - Present) •Support the FDW BCS Reconciliation process by ensuring accurateand timely preparation of management reports through quality reviewof financial data and alignment between Risk Reporting (FDW) andFinancials (BCS).•Collaborate with the Risk Data Control (RDV) team to process andvalidate input data for calculating risk metrics and risk management,enhancing cross-functional understanding within the CRDU function.KWG 13 – Large Exposure Daily Reporting (July 2023-March 2024)•Managed KWG 13 – Large Loan and other regulatory reporting processes, delivering accurate and timely submissions to internal andexternal stakeholders.•Performed variance analysis of counterparty exposures andensured adherence to regulatory requirements through dailymonitoring of large exposures.
EDUCATION
DR Babasaheb Ambedkar college
12th, Business/Commerce, General
Mount Carmel School Nagpur
10th, General
Symbiosis College of Arts & Commerce
Bachelor of Commerce - BCom, Accounting and Finance
ABOUT ADITI LALWANI
Graduated from Symbiosis College of Arts & Commerce with a Bachelor of Commerce in Accounting and Finance, bringing a strong educational foundation to financial analysis and risk management. Currently working as a Financial Analyst at Deutsche Bank within the Risk and Finance Alignment (RAFA) team, focusing on aligning financial data between risk reporting systems and financial controls. Core competencies include credit analysis, risk management, and financial data reconciliation. At Deutsche Bank, contributed to regulatory and large loan reporting processes while enhancing collaboration with cross-functional teams like Risk Data Control to improve data validation for risk metrics. Motivated to support organizational goals through meticulous financial analysis and alignment, while fostering teamwork and cross-departmental insights to strengthen decision-making frameworks. Dedicated to bringing unique perspectives and a detail-oriented approach to the financial sector.
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