Radha Patil
FX, Rates & Credit- Asset Management | Capital Markets & Treasury| Model Validations| Murex | Front Office - Risk & Quantitative Analytics| Engineering & Product @Hedge Fund
- Role
- Business Analyst at Millennium
- Location
- New York, NY, US
- LinkedIn followers
- 500 followers
About Radha Patil
At Millennium, the focus is on delivering impactful risk management solutions within the FX, Rates and Credit domains. Collaborating with cross-functional teams, across the organization ensuring seamless integration of technology to mitigate risks and optimize trading strategies. Proficiency in risk analytics and FX/ fixed-income products forms the foundation of my role, enabling efficient processes that align with organizational goals. Previous roles include consulting for global trading teams at Standard Chartered Bank, OCBC, UOB, Reliance Industries Ltd. ensuring accurate onboarding of capital markets trades into risk platforms, and providing quantitative insights. The commitment to precision, coupled with a deep understanding of derivatives and financial instruments, has consistently driven outcomes that improve risk transparency and trading efficiency.
Experience
Business Analyst
Jul 2023 — Present · NY, US
Support large-scale initiatives aimed at strengthening Fixed Income & FX pricing, risk analytics, and portfolio reporting.•Contribute to enhancing the existing PnL analytics interface by collaborating with developers and quants on projects aimed at investigating and resolving pricing, PnL, and risk-related issues.•Analyzing current valuation processes, identifying opportunities to enhance accuracy and efficiency in financial models, and supporting FIC initiatives to strengthen pricing, risk analytics, and portfolio reporting.•Support and enhance the risk management platform used by Portfolio Managers and traders, delivering accurate risk exposures, sensitivity analyses, and reporting capabilities to strengthen decision-making in fixed income trading & Investment strategies.
Education
New York University
Master of Science - MS, Risk Management
University of Mumbai
Bachelor of Engineering - BE, Information Technology
2005 — 2009
Mumbai Educational Trust, MET League of Colleges
Master of Business Administration (M.B.A.), Finance and Financial Management Services
2009 — 2011
Skills
- Derivatives
- Business Analysis
- Fixed Income
- Sql
- Trading
- Investment Banking
- Financial Risk
- Requirements Analysis
- Risk Management
- Team Management
- Capital Markets
- Fx Options
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