Avik Sankar Maitra

Associate Consultant

Bengaluru, Karnataka, India18 yrs experience
Highly StableAI Enabled

Key Highlights

  • Expert in Basel II/III/IV compliant risk models.
  • Proficient in developing Probability of Default models.
  • Experienced in credit risk analytics across global markets.
Stackforce AI infers this person is a Fintech expert specializing in credit risk modeling and analytics.

Contact

Skills

Core Skills

Credit Risk ModelingBasel IiCredit Risk

Other Skills

AnalysisAnalytical SkillsAnalyticsBalanced ScorecardBasel IIIBasel complianceBusiness AnalyticsCHAIDCluster AnalysisCredit ScoringCustomer AnalysisData MiningData reconciliation analysisDecision TreesEconometrics

About

Risk Analyst with experience in building and implementing Commercial/Wholesale Loans Credit Risk models and Basel II/III/IV compliant risk rating scorecards that measure obligor risk for North America, Europe and Asia-Pacific markets. My role is to build, document and support Basel II/III/IV, PD, LGD models. • Constructing Basel credit risk models • Developing Probability of Default (PD) models • Building downturn LGD models

Experience

Tata consultancy services

Consultant Risk Advisory

Oct 2022Present · 3 yrs 5 mos · Kolkata, West Bengal, India

Wells fargo

3 roles

Vice President - Risk Modeling Group

Promoted

Feb 2022Oct 2022 · 8 mos

Credit Risk Officer

Promoted

Jan 2020Mar 2022 · 2 yrs 2 mos

Credit Risk Analytics Consultant

Oct 2018Jan 2020 · 1 yr 3 mos

Genpact (erstwhile ge capital)

3 roles

Manager

Promoted

Jan 2015Oct 2018 · 3 yrs 9 mos

  • Leading Basel II credit risk modeling Team. This includes the end to end processes: Data reconciliation analysis, project timeline and resource planning, Referencing Default/Data definition, Basel compliance model building, ongoing validation framework and implementation etc.

Assistant Manager

Promoted

Jul 2012Dec 2014 · 2 yrs 5 mos

Business Analyst

Apr 2010Jun 2012 · 2 yrs 2 mos

  • Modeling Credit Risk for Commercial Loans

Finance commission, government of india

Economic Officer

Feb 2009Feb 2010 · 1 yr · New Delhi Area, India

  • Analysis of Financial data through Time-Series Modeling
  • Error Component Modeling
  • Distributed Lag Modeling
  • Pooled and Panel Regression
  • Forecasting Macro Economic Variables
  • Working Areas - Grant-in-Aid, Tax Devolution

Centre for studies in social sciences

Research Assistant

Dec 2007Feb 2009 · 1 yr 2 mos

  • Analyzing Large Scale Data
  • Finding Rank Correlation between districts on the basis of deviations of eight parameters from National Averages
  • Finding whether there is any discrimination between Minority and Others
  • using ANOVA

Education

University of Calcutta

M.Sc — Economics

Jan 2005Jan 2007

Maulana Azad College University of Calcutta

B.Sc — Economics

Jan 2002Jan 2005

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