
Lunatic Unicorn
@laximehta
Financial risk analyst at Crisil using Python and SQL to automate risk data pipelines and enhance reporting dashboards.
What I'm looking for
Certified Financial Risk Manager (FRM) with a passion for analytical problem-solving and a proven ability to identify, assess, and mitigate financial risks. Adept at leveraging data-driven insights to inform decision-making and drive strategic outcomes, with a keen focus on ensuring compliance and operational excellence. Skilled in risk modeling, regulatory frameworks, and cross-functional collaboration, I excel in dynamic environments demanding precision and foresight. Eager to contribute to investment banking by delivering innovative solutions to complex financial challenges while aligning with organizational goals.
Experience
Work history, roles, and key accomplishments
Risk Analyst
Crisil
May 2025 - Present (1 year 4 months)
Performs end-to-end data validation, reconciliation, and quality checks across a diversified portfolio. Analyzes market, credit, and operational risk exposures using quantitative modeling and scenario analysis.
Managed critical AWM processes ensuring regulatory compliance and operational efficiency. Onboarded over 1000 clients with due diligence and maintained high accuracy in account management.
Education
Degrees, certifications, and relevant coursework
D.Y. Patil Vidyapeeth, Pune
MBA, Artificial Intelligence and Machine Learning
2024 -
Pursuing an MBA in Artificial Intelligence and Machine Learning.
Global Association of Risk Professionals
FRM Part I & II, Financial Risk Management
2022 - 2025
Completed FRM Part I & II and became certified.
St. Xavier's University, Kolkata
Bachelors in Commerce (Honours), Commerce
2020 - 2023
Earned a Bachelor's degree in Commerce with Honours.
Delhi Public School Newtown, Kolkata
ISCE/ISC, Commerce
2018 - 2020
Completed ISCE/ISC with a focus on Commerce.
New York Institute of Finance
Risk Management Specialisation, Risk Management
Completed a Risk Management Specialisation covering risk identification, assessment, and mitigation strategies.
University of Geneva
Portfolio Management, Portfolio Management
Completed a Portfolio Management course covering portfolio theory, risk measurement, and quantitative analysis.
Availability
Location
Authorized to work in
Salary expectations
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