Professional Documents
Culture Documents
Tejo Murthy
Phone: +91 7760046689 Email: tejomurthy8@gmail.com
OBJECTIVE
Seeking a challenging position within the financial industry to continue my professionalism & dedication which can
bring the organization a sharper edge within the industry besides ensuring personal growth.
SYNOPSIS
Over all around 7 years of experience in investment banking, marketing as well as in training &development
Keeps abreast of business environment around and up-to-date with current issues and changes in the
industry regulations
Excellent in time management and in decision making with a positive approach
Superb communication & presentation skills with good teamwork spirit and multitasking ability
Quickly adaptable to the changing technical and non-technical environments
Proven ability in area of product development as well as process developments in worked areas
EMPLOYMENT CHRONICLE
Process: - Product
Control
Trading Risk & RPL Bookrunner (Senior Analyst) (May -2014 to Till date)
Key Deliverables:-
Responsible for producing T0 and or T+1 daily profit-and-loss and risk reports for the Repo&LAF trading
desk.
Ensure that figures are validated based on existing controls and the P&L is properly
explained/substantiated
Any manual adjustments posted are feed through to the relevant Accounting Control team as part of their
daily/monthly reconciliation processes
Ensure necessary transparency of controls done either for quality assurance or for final validation and
control performance
Obtain necessary sign-off from Front-Office (Traders) of the reported P&L to the different locations.
liaise with different support teams for escalation and remediation of daily issues encountered
work with Transaction Services, Accounting Control to understand/complete trade-to-book process of a
transaction
work with different stakeholders to improve existing processes and outputs
Submitting and reporting of market risk sensitivities for bank wide trading activity.
Liaison with market risk managers and Market risk operations for the VAR calculations or on large sensitive
moves.
Ensuring proper controls are used (KPI and team trackers).
Facilitating the reporting of key information to management
Performing the related checks, reconciliation through an upstream/downstream validation process.
PERSONAL DETAILS