Rajkumar K

Vice President @Barclays

London, GB
MOBILE NUMBERS
+91 *********19

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WORK HISTORY

Apr 2022 — Present

Vice President @Barclays

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Prague, CZ

EDUCATION

2008 — 2010

Institute for Financial Management & Research

MBA, Finance

2010 — 2011

GARP

Financial Risk Manager, FRM, Risk Management

2001 — 2005

Anna University Chennai

Electronics & Communication Engineering

N/A

CQF Institute

Certified in Quantitative Finance, Quantitative Analysis

SKILLS

Basel IiiConsultingFinancial RiskMarket RiskRisk ManagementBusiness AnalysisManagementData AnalysisRequirements AnalysisCredit AnalysisData AnalyticsJiraDerivativesFinancial AnalysisCredit RiskCapital MarketsSasCreditFinancial ModelingSdlc

ABOUT RAJKUMAR K

Delivering Regulatory Risk Projects for Market & Credit Risk.Volcker Rule - Dodd Frank Act Implementation, FRTB, BASEL 3 / CRD IV, Market Risk Stress Period Determination, Equities Full Revaluation, Rates Full Revaluation, LIBOR to OIS Transition,Taylor Series, Sensitivity Analysis, Time Series Management, Scenario Management, Credit Sensitivity Management, Bonds, CDS, Credit Default Swap Index Options - FullRevaluationExpected Exposure, Loss Given Default, Exposure Explains, Counterparty Credit Risk and Collateral Management Specialties: Data Analytics, Modeling, Project Management

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Rajkumar K — Vice President at Barclays in London, GB | Unifers