Sutanu Gupta

Sutanu Gupta

He has over 15 years of experience in financial risk management. He is a CFA, FRM, CAIIB, PGDFA and Graduate in Economics. He has worked with some of the leading banks in the India and abroad in various positions in the credit risk management and compliance. He has implemented Global Limits and Collateral Management (GLCMS) at NBAD and FGB. GLCMS is a concept that was created by him and deals with real time limits and collateral management for all the businesses of the bank from a centralized platform so that the limits and collateral allocation is optimized in the bank and bank has a better view of the risk. He also has prior experience in conceptualizing and constructing risk management product. The product that he conceptualized and constructed is implemented in one of the reputed regional banks, NBF.

Separator

Tulika Sarkar

Tulika Sarkar

She has over 12 years of experience in Personnel Management and Administration. A keen learner and a competent administrator, she is a graduate in English Literature and with a Masters Degree in Sociology. She has experience in Trading, Power, Facilities Management before venturing into the Finance Sector. She has prior experience of ISO compliance having completed three assignments on ISO certifications for companies in her earlier experience dealing with Quality Management, Environment Management and Health & Safety. She manages the day to day operations, contracting, recruitment as part of her operations duty. She also looks into all the third party relationships of RiskTech which includes Murex, SAS, DnB (Dun N Bradstreet). The day to day client engagement also forms part of her portfolio in the company.

Separator

Dr. Satchitanand

Dr. Satchitanand

He has more than 30 years of financial domain and technology solutioning experience. He most recently held national leadership positions with HP and IBM. He also worked with the Reserve Bank of India for more than 26 years also serving as the Regional Director. He has extensive financial domain expertise gained through three decades of experience. He has M.S. in Financial Markets (Illinois) and a PH.D in Economics with research performed on Financial Risk Management. He is also skilled in creating Risk Models for the Financial Services Industry.


Team