? Result-oriented treasury professional with more than 9 years of experience in financial markets/risk/ treasury and IT. ? Fixed Income/FX Portfolio Manager with experience in trading in major asset classes including government securities, SDL, credit, Overnight index swaps (IRD), Cross currency swaps (CCS), FX Spot and forwards. ? Deep understanding of trading and economic models, risk methodologies, risk models, measurements and management systems ? Master in Business Administration (MBA) from IIFT; major in finance and economics; along with Chemical engineering from Thapar University. ? Completed Chartered Financial Analyst (CFA) exam by CFA, USA and Financial Risk Management (FRM) by GARP. ? Command over G7 economies and emerging Asian Fixed Income markets including ASEAN; extensive understanding of financial markets along with analysing an appropriate mix of monetary, fiscal and exchange rate policies.