Ankita Sinha
Manager @EY
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WORK HISTORY
Manager @EY
FRTB, S166, Regulatory Audits, Risk Modelling, Derivatives Pricing and Pricing Model Validations
EDUCATION
Christ University, Bangalore
Bachelor of Science - BS, Economics, Mathematics & Statistics
The London School of Economics and Political Science (LSE)
Master of Science - MS, Financial Mathematics
ABOUT ANKITA SINHA
I am a Risk Management professional specialising in Market Risk, with a strong foundation in quantitative finance and applied mathematics. I currently work as a Manager within EY UK’s Quantitative Advisory Services (Market Risk), where I support financial institutions across model validation, derivatives risk, stress testing, and risk measurement frameworks.I hold an MSc in Financial Mathematics (Distinction) from The London School of Economics and Political Science (Class of 2020). My technical skill set includes hands-on experience with derivatives, market risk models, regulatory frameworks, and stress testing methodologies, alongside programming capabilities in Python and R.Beyond my professional work, I am deeply motivated by social impact. I aspire to establish a foundation focused on expanding access to education, career mentorship, and professional networks for underprivileged children and young adults who face socioeconomic or financial barriers. I am open to collaborating with individuals and organisations aligned with these values, particularly those based in India or the UK. You can reach me at: a••••••••@gmail.com
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