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Radhika Bhukania

Banking & Financial Services - Risk Management
  • Suggested rate
    €720 / day
  • Experience8-15 years
  • Response rate100%
  • Response time1 hour
The project will begin once you accept Radhika's quote.
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Location
Mumbai, MH, India
Remote only
Primarily works remotely
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Radhika in a few words
Over 8 years of experience in Risk Consulting for global banks namely, Bank of America, CommBank, Australia, Investment Management– Morgan Stanley Funds Services, Lumnya Investments, UK (formerly Bank of America). Worked in Investments Management – US Hedge Funds; UCITS hedge funds in risk analytics & reporting. Experience in regulatory transformation and change management projects as a seasoned Business Analyst in IBOR, FRTB implementation in the Risk functions. Products knowledge includes Rates, Equities & FX. Proficient in MS Office Suite, working knowledge in VBA & SQL, Applications- Bloomberg, MSCI Risk Metrics.
Experience
  • Accenture
    Management Consultant
    CONSULTING & AUDITS
    February 2022 - October 2022 (8 months)
    Mumbai, Maharashtra, India
    Strategy & Consulting Industry: CFO&EV - Finance & Risk
    Project 1: Consulting Common Wealth Bank Australia in streamlining the process of the internal user developed tools used by the traded products
    - market operations and commercial banking teams. The objective of this engagement is to manage the operational & financial risks associated with these tools. Centralize issue management and resolution based on the CFTC requirements for Risk and Controls framework. Started as a Consultant and then was given the Project Lead responsibilities during the course of 8 months.
    Project 2: Working as a Consultant for a global bank in their Risk, Finance & Treasury Data transformation
    Consulting Risk Management Project Management Atlassian Confluence Atlassian JIRA Microsoft Office Financial Reporting
  • CRISIL Global Research & Risk Solutions
    Senior Research Analyst
    CONSULTING & AUDITS
    May 2021 - February 2022 (9 months)
    London, UK
    Worked as a Consultant for Bank of America in the time sensitive IBOR transition project in global market risk management & reporting functions. Impact Analysis on VAR, SVAR for various legal entities due to changes in base curve for EUR, GBP & CHF. Analyzed the sensitivities measures - shocks, stresses and regulatory reporting numbers in granularity for various impacted products in a phased out plan which went live in Dec'21. Part of working group for USD IBOR transition from Jan-Feb'22.
    Risk Management Reporting Financial Reporting Opérations Project Management Consulting Microsoft Office
  • CRISIL Global Research & Risk Solutions
    Senior Risk Analyst
    CONSULTING & AUDITS
    January 2021 - April 2021 (3 months)
    Mumbai, Maharashtra, India
    Part of business research and development initiatives for Crisil Risk Solutions. Helping the group in driving business development and client engagements. Prepared collaterals for PRIPPs, Rule 18F-4 SEC, IBOR, FRTB and other regulations and services.
    Business development Microsoft Office Consulting Management Consulting Risk Management Reporting
Recommendations
Education
  • Master of Business Administration - MBA, Finance, Investment Management, Banking
    Alliance University, India
    2015
    Master of Business Administration - MBA, Finance, Investment Management, Banking
  • Bachelor of Commerce (B.Com.), Honors in Finance
    St. Xavier's College, India
    2011
    Bachelor of Commerce (B.Com.), Honors in Finance
Certifications
  • Financial Modelling & Advanced Excel
    Simplilearn
    2016
    Microsoft Office