Rahul T.

Senior Market Risk Analyst @TD

Burlington, ON, CA
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WORK HISTORY

Oct 2021 — Present

Senior Market Risk Analyst @TD

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ON, CA

Conducted IPV and VA methodology gap analysis for product types common to TD and Cowen as part of LD1 requirement; subsequently delivered post-LD1 recommendations to address identified gaps• Identified essential product control prerequisites for project teams under Finance during Cowen integration and represented PC\'s interest across different integration streams• Gained understanding of TDS infrastructure and data lineage across different source systems to identify control gaps• Led the migration of Totem subscription process from Excel to Python to improve efficiency• Initiated collaboration with external and internal stakeholders to use alternatives to Bloomberg terminal to save costs• Led the initiative on PC’s collaboration with Model development team to re-engineer equity IPV process to improve overall efficiency• Conceptualized and implemented controls to avoid operational risk in various EUCs: automated consolidated VA tool and added enhanced sanity checks to descope potential operational errors• Performed impact assessment for GED IPV processes resulting from multicurve implementation• Conducted monthly IPV for GED products and provided commentaries to MRC, Finance and desk based on valuation differences compared to FO marks• Calculated VA for GED products as per VA policy• Addressed audit queries from EY, SOX, and internal audit teams• Updated equity IPV, and VA methodology documents as part of annual review process• Led and cross trained team members in finalizing IPV consolidated files

EDUCATION

2012 — 2014

Symbiosis Institute of International Business

Master of Business Administration (MBA)

2013 — 2013

Sheffield Hallam University

PGC Business Management

2009 — 2011

Madurai Kamaraj University (MKU)

Master of Science - MS

2006 — 2009

Savitribai Phule Pune University

Bachelor of Science (BSc)

ABOUT RAHUL T.

With over 9 years of experience in the financial industry, I bring expertise in P&L analysis, IPV, reconciliation, and balance sheet substantiation across diverse asset classes. At TD, I actively contribute to the Cowen integration project by conducting gap analyses, identifying critical product control prerequisites, and representing product control interests across integration streams. My focus on enhancing processes led to the migration of the Totem subscription workflow from Excel to Python, significantly improving efficiency. By fostering collaboration with internal and external stakeholders, I spearheaded initiatives to explore cost-saving alternatives to Bloomberg terminals, driving operational efficiency. My role reflects a commitment to analytical rigor, problem-solving, and delivering value to stakeholders. Certified as an FRM®, I am motivated to enable innovation and maintain high standards of integrity and performance within my team and organization.

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Rahul T. — Senior Market Risk Analyst at TD in Burlington, ON, CA | Unifers