Aviral Singh
Risk Data Governance, Automation & Strategy Associate @JPMorganChase
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WORK HISTORY
Risk Data Governance, Automation & Strategy Associate @JPMorganChase
Bengaluru, IN
Risk Data Governance, Automation & Strategy Associate at JPMorganChase
EDUCATION
Rajiv Gandhi Prodyogiki Vishwavidyalaya
Bachelor of Engineering - BE, Electrical, Electronics and Communications Engineering
IFMR Graduate School of Business - Krea University
Master of Business Administration - MBA
ABOUT AVIRAL SINGH
Aviral brings 48 months of hands-on experience in Data Governance and Risk Data Management for Global Systemically Important Banks (G-SIBs). He currently serves as a key member of the Risk Management & Compliance -Chief Data Office at J.P. Morgan Chase & Co, where he focuses on ensuring effective oversight & corporate risk management for the executive risk leadership of the bank.Professional Highlights:Data Governance and Controls: Part of projects involving Risk Data Governance, Data Store Inventory Management, Gen AI Data Use, and Management Reporting. Developed and optimized critical data dashboards using Tableau and Alteryx. Collaborated with domain risk stewards and data owners to achieve regulatory data management standards.Metadata & Data Quality Management: Executed comprehensive projects on Metadata, Data Lineage, and Data Quality for FR Y 14A/Q/M risk reports. Ensured compliance with BCBS-239 and the Dodd-Frank Act, addressing data quality issues through effective defect management.Risk and Finance Data Management: Extensive experience in enterprise data governance, risk controls, metadata lineage, and regulatory data documentation. Demonstrated expertise in maintaining high standards of data quality and compliance.Counterparty Credit Risk Data Management: Experience in validating exposure metrics (PE, EPE, PFE) across a range of financial products (SFT, OTC, CCP, Prime Brokerages). Ensured compliance with Basel standards and regulatory requirements (FINMA, PRA, IHC), and resolved data quality issues in collaboration with stakeholders.Risk Change & Model Validation: Conducted impact analysis for new risk models and updated internal risk calculation and data governance tools to reflect evolving requirements.Technical Proficiency: In-depth knowledge of DAMA Standards, Market Risk, and Credit Risk Models.Proficient in advanced MS Excel, MS Visio, Collibra, Alteryx, Tableau, and SQL. Experienced with risk measurement techniques including Monte Carlo Simulation, Basel Framework, and FRTB.Certifications & Education:Certifications-CFA Institute – Foundation of Investment Management-Ernst & Young CAFTA Program – Financial Risk Management & Investment ManagementEducation-MBA in Finance, Institute of Financial Management & Research (IFMR)- Krea University, Sri City-B.E in Electronics & Communication Engineering, Rajiv Gandhi Proudyogiki Vishwavidyalaya, Bhopal.
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