Ravi Rathi
Treasury Finance- Product Control, Valuation Control, Fund Transfer Pricing (FTP), Interest Rate Risk In Banking Book (IRRBB), Hedge Accounting
- Role
- Vice President-treasury Product Control and Valuation Methodology Gbs at Standard Chartered
- Location
- Bengaluru, KA, IN
- LinkedIn followers
- 500 followers
About Ravi Rathi
In-depth experience in migration of Product Control, Derivatives Pricing & Valuation, RiskManagement and Middle Office functions- Expertise in building and leading dynamic/high-performing teams- Solid exposure to Project Management and development of Pricing, Risk Management, ProductControl and Middle Office systemsSpecialties- Derivative Pricing and Risk Management- P&L Production and Review- Dividend and Index Review forecasting- Project Management
Experience
Vice President-treasury Product Control and Valuation Methodology Gbs
Mar 2021 — Present · Bangalore Urban, IN
Currently managing a team of 35+ Treasury Product Controllers and Valuation Control Specialists including responsibility for the training and career development of the team. Management of controllers managing various daily/weekly/monthly and quarterly PC controls. Ensure quality controls and ample support to meet the demands of the business, Front Office, auditors, and regulators across global jurisdictions. Pillars covered are Treasury Issuances, Fund Transfer Pricing to other Balance sheet, Internal deployments, Securities/ ABS portfolio management and relevant hedges. Managing the in-house specialized team on Hedge Accounting aspects of Treasury assets, Issuances portfolio. Lead Structural Hedging initiative from PC side. Business partnering by providing relevant expertise in the HedgeAccounting application and managing PC controls around it. Participated in conceptualization and implementation of Treasury P&L & RWA allocation to Bank’s Segmental metrices, there driving optimization of Bank’s financial outcome. Managing Team of VC specialists covering Independent Price Verification, Reserves and Mispricing adjustment calculation on Bonds, ABS, and derivatives portfolio. Also, guiding the team on quarterly (Prudent Valuation Adjustment) PVA computations for the Treasury positions & derivatives. Ensuring the integrity and effectiveness of Balance Sheet substantiation process and signing off audit assertions. Generating quarterly attestation reports of traded BS with global coverage and variance analysis of balance movement over quarter. Reviewing balances to quantify “At Risk” balances. Managing Change within Treasury space covering bank’s transformational journey to Strategic SAP platform (Aspire) and other business focus Transaction capturing/ processing/ accounting projects using Agile platforms.
Education
The Institute of Chartered Accountants of India
Chartered Accountant, Financial Management,Taxation and Accountancy,
2003 — 2007
Global Association of Risk Professionals (GARP), USA
Financial Risk Manager (FRM), Risk Management,
2010 — 2011
Shree Daluatram Nopany Vidyalaya
Secondary
1991 — 2000
St. Xavier's College, Calcutta University
B.Com (Hons), Finance and Accountancy,
2002 — 2005
The Institute of Company Secretaries of India
Company Secretary, Corporate and Other Laws,
2003 — 2006
Shree Jain Vidyalaya
Higher Secondary
2000 — 2002
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