Sagnik Saha
Director - Investment Risk Quant, Morgan Stanley
- Role
- Quant (Model Risk Management) - Director at Morgan Stanley
- Location
- Mumbai, MH, IN
- LinkedIn followers
- 500 followers
About Sagnik Saha
At Morgan Stanley, my role as a Director in Model Risk Management revolves around stringent validation of Investment Management models, ensuring their integrity and performance align with high industry standards. My academic foundation in Applied Economics from the Indira Gandhi Institute of Development Research equips me with a nuanced understanding of econometric principles, vital in my quantitative assessments and data analysis endeavors.In collaboration with our diverse team, I leverage my knowledge of finance and statistics to optimise models, contributing to the company\'s strategic decision-making process. I\'m dedicated to continuous learning and applying my analytical acumen to complex problems, aiming to drive growth and enhance our firm\'s competitive edge in the financial sector.As a team lead and mentor, I am passionate about building high-performing teams and supporting the professional growth of new joiners and interns through structured guidance and mentorship.
Experience
Quant (Model Risk Management) - Director
Jan 2025 — Present
Team Lead - Investment Management Model Validation (ESG and Decision Support Methodologies).Model Risk Management Team Mentor: Guiding new joiners and interns through mentorship, fostering their learning, growth, and integration into the team.
Education
Indira Gandhi Institute of Development Research
Master's degree, Applied Economics
2017 — 2019
Presidency University, Kolkata
Bachelor's degree, Economics
2014 — 2017
Skills
- Mathematics
- Computer Science
- Pure Mathematics
- Programming
- Algorithms
- C++
- Python
- Html5
- Css
- Javascript
- Web Design
- Web Development
- Web Applications
- Linux
- Software Development
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