Mayank Kumar

Vice President, Market Risk at Nomura

Role
Market Risk Manager at Nomura
Location
Mumbai, MH, IN
LinkedIn followers
500 followers
Finance & AccountingView LinkedIn profile

About Mayank Kumar

More than 10years of experience in market risk. Currently managing market risk of Nomura India fixed income, and Nomura Europe Entity with risks across asset classes(mostly interest rates, FX and traded credit products).

Experience

  1. Market Risk Manager

    Nomura

    Apr 2014 — Present · Mumbai, IN

    Jan 2023- Present: Nomura India fixed income + European Entity Risk + CVA + US Traded Credit Products RiskJune 2021- Jan 2023: European Entity Risk + CVA + US Traded Credit Products RiskMarch 2017- June 2021: European Entity Market RiskMarch 2014- March 2017: Analyst, Global Portfolio Market Risk

Education

  • CFA Institute

    CFA Level 3 Completed

  • Indian Institute of Management, Ranchi

    PGDM

    2010 — 2012

  • National Institute of Science & Technology

    Bachelor of Technology

    2006 — 2010

Skills

  • Valuation
  • Equity Research
  • Macroeconomics
  • Market Risk
  • Business Valuation
  • Derivatives
  • Financial Analysis
  • Risk Management
  • Team Management
  • Fixed Income
  • Investment Banking
  • Strategic Planning
  • Corporate Finance
  • Credit
  • Financial Modeling
  • Capital Markets
  • Financial Risk
  • Business Analysis
  • Credit Risk
  • Leadership
  • Treasury Services
  • Requirements Gathering

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Mayank Kumar — Market Risk Manager at Nomura in Mumbai, MH, IN | Unifers