Ashish Surana

Vice President @Deutsche Bank

London, GB
MOBILE NUMBERS
+91 *********19

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WORK HISTORY

Dec 2022 — Present

Vice President @Deutsche Bank

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London, GB

Change execution manager for Credit Risk Management, Portfolio Risk Management and Enterprise risk management

EDUCATION

2010 — 2010

Global Association of Risk Professionals

Financial Risk Manager - Level I, Financial Risk

2004 — 2008

Indian Institute of Technology, Delhi

B.Tech, Civil Engineering

2006 — 2008

Indian Institute of Technology, Delhi

Minor, Computational Mechanics

N/A

PRIMIA

Professional Risk Manager, Financial Risk

SKILLS

BankingRisk ManagementStatistical ModelingCredit RiskRiskCorporate FinanceMarket RiskFinanceTradingFinancial RiskAnalysisPortfolio ManagementValuation

ABOUT ASHISH SURANA

Ashish has 16+ years of experience in Risk functions across Banking and Insurance industry in multiple roles. He started his career with a re-insurance (Flagstone Re) start up before moving to a big four (Deloitte) and is currently working with a Global Bank (HSBC). Ashish is uniquely placed with a diverse experience of counterparty credit risk, market risk & risk in insurance; with roles in risk management, risk analytics, risk transformation and client servicing functionsAshish is currently working as a Risk Manager in Traded credit risk management department at HSBC, London. He is responsible to analyse risk drivers and perform portfolio exposure review of trading positions with Corporate clients, banks & non-banking financial institutions including clearing houses and insurance clients. He actively manages risk appetite of the bank against probable counterparty default via PFE, Current exposure, EAD measures, portfolio analysis, Credit mitigants etcPreviously, he was a SME for market data & scenarios feeding to market risk systems for HSBC traded risk function to compute - VaR, Stressed VaR, Risk Not In VaR, Stress Testing, IRC etc. He managed relationships & work closely with stake holders globally, including market risk managers, regional and global heads –Directors, Managing directorsPrior to moving to HSBC\"s London office, Ashish had set up and managed a 9 member team with Market Risk & Credit Risk operations for HSBC GSC, Bangalore. He has been instrumental in building the team from scratch & taking the team forward. Ashish\'s core responsibilities included support for VaR calculations for bank\'s trading portfolio for multiple asset classes.He holds a Bachelor\'s degree in Technology from India\'s top most institute (IITs), a Financial Risk Management certification (FRM) and a Professional Risk Management certification (PRM).Key Skills : Counterparty Credit Risk Management, Fundamental Review of Trading Book, Risk & regulatory framework for Banks, Basel Market data validation & control, VaR, Stressed VaR, Stress Testing, PFE, EEPE, EAD, Wrong Way Risk, Risk Sensitivities, Market risk technology, Software development & project life cycle, Cross geography team setup & management, Stakeholder management, CVA, Stress Testing, Asset Control, Statistical modelling, VaR Estimation, Catastrophe Risk modelling

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Ashish Surana — Vice President at Deutsche Bank in London, GB | Unifers